As news of the UK's decision to exit the EU sunk in over the weekend, Investment Week rounds up some of the key stories for our market.
Wealth managers and their clients waking up to the EU referendum result this morning are facing their worst case scenario in terms of the investment landscape. Sterling has hit its lowest level since 1985 and global markets are in freefall after the UK...
Many column inches have been written about the dangers of key man risk for asset managers, but what about the other side of the coin: the perils of not having well-known individuals attached to a fund?
M&G latest to launch new service
Investment Week editor Katrina Lloyd is joined by a panel of industry experts to discuss the US economy, presidential election, and prospects for equity markets.
Election threat to global markets
US in latter stages of the economic and market cycle
Investment Week highlights a range of interesting articles on issues including the impact of a Trump presidency, should investors fear a US recession and the rise of robo-advisers.
Will stop charging investors for external research at start of 2017