Arjun Bhandari, an analyst on Henderson's Diversified Income Limited investment trust looks at the disruptive trends in the economy and how their interaction may be contributing to the current low growth, low inflation environment.
Kevin O'Nolan, portfolio manager in the Fidelity Solutions team, discusses the repercussions of the recent EU referendum, including the risks of political contagion in Europe.
Investment Week talks to managers from our recent Funds to Watch conference about how their funds are positioned as we move into a 'post-Brexit' era, and where the best opportunities and key risks lie for investors in their part of the market.
In the latest in our series of interviews with some of the industry's key Investment Influencers, Investment Week talks to Richard Romer-Lee of Square Mile Investment Consulting & Research.
UK government bonds are appealing
Edward Smith, asset allocation strategist at Rathbones, takes a closer look at the winners and losers from the UK's decision to leave the EU.
Widening discounts offering attractive opportunities
JPMAM's chief global strategist, David Kelly, and fund manager Christian Preussner explain why US equities could provide a fruitful home for UK income investors seeking refuge in a post-Brexit market.
European equities were hammered in the wake of the referendum result, with the French CAC down 8% after the first trading day, while Germany's DAX closed 6% lower.
In the latest in our series of interviews with some of the industry's key Investment Influencers, Investment Week talks to Elizabeth Savage of Rathbones.