We expect to see continued market volatility and macroeconomic uncertainty in the UK throughout 2019, not least due to Brexit.
Levels close to those pre-Global Financial Crisis
Impact of political turmoil and Brexit
A troubled Brexit with Parliamentary stumbles and deadline extensions, while the original departure date has come and gone.
Bought asset manager on 2018 price dip
Global equities and mixed asset funds popular
Equities exposure drops to average of 43.2%
Average product returned 33.13% over past three years