The global outlook for 2024 remains subdued, with weaker growth expected in most major economies. Sticky core inflation may require rate cuts to be postponed, while tighter financial conditions may continue to hamper economic resurgence. Given the interconnectedness of markets, these challenges, while disconcerting, could provide asset owners and investors with new opportunities across industries and geographies. Where are investors looking for silver linings that would improve financial positions and reduce exposure to systemic risks? How do investors bridge opportunities and spur innovation amid these multifaceted challenges?