Global markets have corrected since Sep 2021 with disruptions from the Delta variant and China’s regulatory clampdown contributing to slower economic growth. The risks in the 2022 are i) whether inflation will stay higher than market anticipates, ii) when China starts to ease again and iii) whether the new Omicron variant will derail growth once more. Join Lim Yuin, Chief Investment Strategist at Lion Global Investors on 21 Jan 2022, 12pm to 1pm, as he shares on navigating through the market volatility in 1st half of year 2022.