More than a year after the UK Brexit referendum, sterling corporate bond yields remain close to an all-time low, writes Mateusz Malek, head of bonds research at Killik & Co.
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UK domestic stocks are deeply unloved in the eyes of the investment world and investor sentiment towards the UK is now as bad as it was in 2008, when much of the country's banking system was on the verge of collapse.
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PARTNER INSIGHT: Royal London Asset Management (RLAM) UK equity managers Richard Marwood, Henry Lowson and Martin Cholwill believe Brexit-related volatility will be an opportunity for the investment team rather than a concern.