{"version":"1.2.0","chapters":[{"startTime":0,"title":"Introduction "},{"startTime":109,"title":"How should investors interpret the 2026 Global Risks Report findings"},{"startTime":148,"title":"Does a shift in risk weighting change the thinking around capital allocation and diversification? "},{"startTime":183,"title":"Are investors underestimating the economic side of global risk?"},{"startTime":287,"title":"Are investment opportunities and risks in a more multipolar or contested economic order?"},{"startTime":324,"title":"Where do you see growth potential right now, both in developed economies and in emerging markets?"},{"startTime":423,"title":"How should investors balance their innovation upside with systemic risk exposure?"},{"startTime":482,"title":"How do investors think about resilience, whether for portfolios, for businesses or economies?"},{"startTime":527,"title":"What are the three signals or outcomes that you'll be watching closely at WEF2026?"},{"startTime":603,"title":"From an investment perspective, how material are positive economic signals from South Africa?"},{"startTime":715,"title":"What\u2019s the one thing investors should be watching this week when it comes to South Africa's positioning in global portfolios?"}]}