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Over the past two decades, Gulf sovereign wealth funds have become among the most influential investors in Asia, helping finance growth across diverse sectors. As Asia continues to drive a growing share of global economic expansion, the region remains a strategic destination for Gulf capital seeking long-term returns, diversification, and exposure to future growth sectors. But the landscape has changed: geopolitical competition, supply-chain realignment, technological disruption, and market volatility are forcing investors to reassess risk and opportunity. This session will bring together sovereign and institutional investors to examine evolving capital allocation strategies, the most attractive opportunities across Asia, and how long-horizon investors are positioning themselves for an increasingly uncertain world.