Investors pulling out of UK equities and property
During Investment Week magazine's short summer break, the impact of the Brexit referendum on asset management businesses in the first half of the year was revealed in all its gory detail.
First it was the stockmarket and now it is household spending: financial and economic trends are defiantly failing to develop as predicted.
Criticizes Remain campaign forecasts
Property and equity sectors record largest outflows
Helped by foreign currency exposure
In this summer's edition of the podcast, Investment Week speaks to two key figures in the wealth management community about the Brexit vote and the Bank of England's interest rate cut.