The 11th annual Global Investment Strategy Forum 2025, hosted in Singapore and Malaysia, focused on how institutional investors can balance long-term strategic objectives with short-term adaptability, in a multi-polar world mired with:
- Policy uncertainty, structural inflation and divergent central bank strategies
- Geopolitical tensions and fragmentation
- De-globalisation and trade realignment
- Recession risk and slowing growth
- Technological innovation and disruption











































































