The recent geopolitical developments around the war between Russia and Ukraine have put investors in risk-off mode as global equity markets have turned volatile. CAMERON BRANDT, director of research, EPFR Global, tells Puneet Wadhwa in an interview that funds dedicated to Canada, Greater China, and Saudi Arabia are the ones that have seen a marked pick-up in flows since markets began to focus on the prospects of military action by Russia. Edited excerpts:
How do you see investor flows play out in 2022 as the US Fed and the other central banks look to hike rates? Which equity markets are