Total funds on list rise from 26 to 58
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.
Matthew Jennings, Investment Director at Fidelity, analyses the factors behind the recent outperformance of value over growth in the UK - despite value lagging globally
Possibility of no-deal
UK equity outflows continue
PARTNER INSIGHT: Leigh Himsworth, portfolio manager of the Fidelity UK Opportunities Fund, assesses whether it is a mistake to read too much into the high street's recent weakness.
Caught out by sharp rally
Key sectors include clean energy and technology
Stronger underlying dividends
UK stockmarket under-owned by global investors
PARTNER INSIGHT: Alex Wright, portfolio manager of the Fidelity Special Situations Fund and Fidelity Special Values PLC, explains how he has had to adapt to changing market conditions in order to stay ahead of the market.
UK equities saw the biggest fall
Access to lending market for smaller businesses
Overweight UK equities
PARTNER INSIGHT: Portfolio manager Alex Wright discusses some of the challenges associated with investing against the tide of opinion, while revealing how it can provide a very favourable risk-return profile when executed successfully
Trade wars a key risk
Launching as standalone firm
£1.2bn exited UK equity funds in May
Performance fees at record high
Assessing the impact of the vote
Annual Mansion House speech