Policymakers and executives are striving to make sense of how the financial sector will differ in the coming decades. Business models and behaviors of key market players will evolve and determine future directions of global capital markets. Digital asset policy, regulation, supervision, and enforcement will also continue to be top of mind. How are industry leaders priming themselves for change and continued growth? With the current market facing higher and more volatile inflation and interest rates, along with smaller central bank balance sheets, are we seeing market fragilities and asset bubbles? How do we see the financial sector evolving in response?