The Top Down: Neptune's James Dowey on the 'one issue more important than Brexit' for asset managers
In this month's edition of The Top Down, Jayna Rana and Mike Sheen talk to James Dowey, CIO and chief economist at Neptune Investment Management.
Global equities and mixed asset funds popular
Sarah Melvin to take on new role
Winding down since April 2013
Moving to full-spread basis
US asset manager Requiem Partners has launched an ETF that will track the "total meltdown" of UK society as the country prepares to leave the European Union.
UK missed today's Brexit 'deadline'
For years, political risk has been a feature in European markets.
Average product returned 33.13% over past three years
What does it take to stand out from the crowd?
Uncertainty has resulted in 2% less growth
How has the world changed since 2016?
Futureproofing ahead of 29 March deadline
Interest rate outlook unchaged
David Cumming, Aviva Investors' chief investment officer for equities, remains positive about UK stocks despite a pummelling in 2018
At the start of 2019 there were three main reasons to be bearish.
Political uncertainty driving up purchases
Experts react to 2019 Spring Statement
Warns of consequences of no deal
Opportunities in domestically oriented stocks