There are 15 item(s) tagged with the keyword "Brexit".
Displaying: 11 - 15 of 15
The Brexit negotiations have reached an important milestone with both sides agreeing to a period of transition between the UK formally leaving the EU in March 2019 and the new relationship coming in to force in January 2021. This has lifted sterling and UK interest rate expectations. Both could get a further boost if the next ambition is met - an agreement on the heads of terms of the final deal.
After performance weakness in the immediate aftermath of the Brexit referendum, UK property delivered a strong return in 2017. In the first of two guest posts looking at the property environment in different parts of the world, Tony Brown, CIO of M&G Real Estate, discusses where this leaves us in terms of the key themes in UK property in the period ahead, both from a cyclical and a longer term structural perspective.
A panel of Investec managers discuss geopolitical events including North Korea, Britain's EU exit and Trump's presidency, and their effect on markets.
An investor who focuses only on the UK will be handicapped in their ability to maximise returns. This article highlights the dangers of home bias.
James Foster and Jacob de Tusch-Lec, managers of the Artemis Monthly Distribution Fund, discuss why investors seeking income must proceed with caution – and what that means for their fund.
Displaying: 11 - 15 of 15