Not a 'risk-free' asset
We meet management teams from companies across Europe and they continue to report a positive trading environment.
In recent months, investors have reacted to a perceived bout of increased uncertainty in global markets as the short-term mood has shifted from one of championing synchronised global growth and reflation to one more of nervousness around emerging markets...
Assessing the impact of financial rules on UK businesses
Half of fund matures within three years
Round-up of the biggest stories of the past few weeks
Possible outcomes examined
Emphasis on grassroots education encouraged
Political fears in Europe and UK
The UK macro landscape is anything but settled. As Brexit D-Day fast approaches and signs of any tangible progress yet to materialise, markets are gearing up for a prolonged period of uncertainty and confusion.
Legg Mason's Barry: We are going to see more change over the next five years than we saw in the previous 15
Head of UK sales on regulatory and tech changes
Concerns about negotiators
Possibility of no-deal
Key sectors include clean energy and technology
Response to FCA warning