Niall Gallagher, investment director at GAM, analyses how investors in Europe can navigate political risk and where the best opportunities are likely to be.
It is probably not an overstatement to suggest the UK is facing the biggest challenge for 70 years.
World trade growth has slowed since 2008
$14bn also pulled from global equity ETFs after vote
Following the crescendo of the European sovereign debt crisis in 2011, scepticism plagued investors across the continent, leaving the economy in a fragile, lethargic state.
Gold and UK property remain most popular
Japan and eurozone feeling the pain
Follows Italy's Atlante fund