Given we are in such a protracted period of uncertainty, with Brexit continuing to dominate news headlines, avoiding the UK is perhaps a natural response.
While we do not know the outcome of the Brexit process and would not pretend to, it does seem that investors are being rewarded for taking on risk with UK equities. Some economic strategists have suggested...
Reducing volatility and maximising returns
Record organic asset growth
Global economic cycle is among the longest in history
Fixed income manager takes a more cautious approach
Duff & Phelps IM selected for real estate vehicle