In recent years, investors have faced two major sources of political risk when considering UK assets: the possibility of a hard Brexit and the prospect of a more radically left-leaning government.
Discounts as wide as during financial crisis
'Unprecedented challenges'
Access to public equity and debt markets 'critical'
'Will emerge in a strong position'
Industry impact of Covid-19
Oil exposure reduced in latest reshuffle
Assets fall by £1.8bn over one month
Flash UK Composite Output Index falls to record low of 37.1