OPINION - EUROPE
10 Dec 2009 | 17:56 |
Categories: Europe
Tags: S&p | Barings | Lv= | Conjecture
Mark Page of LV= Asset Management, Nicholas Williams of Baring Asset Management and Peter Fuller of Standard & Poor's discuss European Equities
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Europe funds have been a mainstay of UK investors’ portfolios for some time, but did not escape the economic downturn. GDP in the Eurozone fell by 1.5% in the last quarter of 2008 and the start of 2009 offered little in the way of respite. But with tighter investment controls across most of Europe and less exposure to the toxic debt which burdened the UK and US, which Eurozone countries are best equipped to bounce back and which are already showing signs of recovery?
This week's Investment Week Conjecture panel includes:
Mark Page - Head of European Equities, LV= Asset Management
Nicholas Williams - Head of Pan European Small & Mid Cap Equities, Baring Asset Management
Peter Fuller - Director – Research, Standard & Poor's
Non-members click here to listen to this debate
Categories: Europe
Tags: S&p | Barings | Lv= | Conjecture
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