In the third part of a short series, managers tell Investment Week which value plays still look attractive after a strong run this year.
Four months on from the EU referendum and the market has, thus far, taken the result very much in its stride.
The looming vote on the UK's continued membership of the European Union is weighing heavily on many investors' minds. One of the main by-products has been increased volatility in share prices.
Volkswagen has finally reached a deal with US authorities regarding the emissions scandal that resulted in the stock collapsing by 34% to a low of €92 in September 2015, and the resignation of the group's CEO.
How have they performed?
These are hazardous times for investors in the UK, particularly those seeking sustainable income, writes Saracen's Scott McKenzie.
Fund managers reveal telecoms, housebuilders and retail as some of the sectors they believe will be able to continue their strong run in 2016, alongside the trouble spots.