25 Jun

Global outlook: Positioning for the long term

An increasingly unpredictable geopolitical environment has turned trade, supply chains, and economic stability into front-of-mind issues for private equity investors. Global deal volumes improved as 2024 progressed, so GPs entered 2025 looking to maintain momentum – despite those looming macro risks and recognising the need to convince LPs of their ability to outperform in changing conditions. Adaptability, innovation, genuine sector and domain expertise, and demonstrable valuation capabilities are the name of the game.

  • What macro risk questions are being asked now that weren’t asked before?

  • How are GPs incorporating artificial intelligence into internal processes?

  • Which exit channels will be most prolific over the next 12 months?

  • What are the implications of a handful of large global GPs dominating the asset class?

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  • Speakers keyboard_arrow_down
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    Tim Burroughs Managing Editor Global Private Funds, and Managing Editor, AVCJ Mergermarket Bio
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    Jennifer James Managing Director, Chief Operating Officer and Head of Investor Relations & Marketing Thoma Bravo Bio
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    John Y.S. Lee Partner Lexington Partners Bio
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    Ethan Ling Managing Director BlackRock Bio
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    Prakhar Singh Managing Director and Sector Lead, Asia, Late-Stage Growth Wellington Management
Language: English 日本語

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