Even during a year of robust public equities, investors face a long-term challenge to deliver returns. This roundtable will bring together asset owners and fund managers to discuss the best ways to mitigate market volatility and beat rising inflation. They will explore the opportunities on the public side and how to account for geopolitical risk. Questions for discussion include: How do you access the top funds that lack capacity, and at what terms? What are the lessons learned from collaborating remotely over the last year and a half? How will these lessons inform future collaboration?