Geopolitical tensions, global supply chain challenges, and spiralling inflation led to global market volatility for the majority of 2022. As we look towards the rest of the year, what are some of the lessons we can draw from the past year, which will help us to optimise our investment portfolios in the year ahead? On Money in the Market, Hongbin Jeong speaks to Wilfred Lim, Head of Strategy, Investment Solutions at PhillipCapital to find out some of the key lessons we can draw from 2022.