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Inflated risks

Published by : Old Mutual Global Investors

Mark Nash and Nicholas Wall, managers on the Old Mutual Global Investors multi-sector fixed income team, discuss the impending threat of inflation to global bond markets.

Published: 29 March 2018

Business Area: Investments

Type: Portable Document Format (.pdf)

Back to school

Published by : Old Mutual Global Investors

With stock markets in ‘back-to-school’ mode, Richard Buxton, head of UK equities at Old Mutual Global Investors, examines the investor outlook for the new autumn term.

Published: 25 September 2017

Business Area: Investments

Type: Portable Document Format (.pdf)

The outcome of Brexit matters for the UK’s balance of payments

Published by : Columbia Threadneedle Investments

Ben Rodriguez, Multi-Asset Investment Analyst

Published: 22 September 2017

Business Area: Asset Allocation

Type: Portable Document Format (.pdf)

Putting clients first as Brexit begins

Published by : Columbia Threadneedle Investments

The Brexit negotiations will determine the shape of the UK’s future relationship with the European Union, setting out the structural framework within which asset managers and other businesses will need to operate.

Published: 10 August 2017

Business Area: UK

Type: Portable Document Format (.pdf)

UK politics: what's the impact on forecasts?

Published by : Columbia Threadneedle Investments

Developments in the UK have led our Multi Asset team to renew their focus on the region in recent weeks amidst the start of Brexit negotiations and the general election. In the latest Asset Allocation Monthly from Columbia Threadneedle, Maya Bhandari, Multi Asset Fund Manager, discusses these recent

Published: 19 July 2017

Business Area: UK

Type: Portable Document Format (.pdf)

Ahead of the curve: Brexit - speed bumps, slopes, & cake

Published by : Hermes Investment Management

After 12 months in the departure lounge, the UK's Brexit negotiations have started. Political fall-out has added an extra ‘speed bump’ on a journey likely to take way longer than the two years hoped for.

Published: 17 July 2017

Business Area: UK

Type: Other

UK Inflation: Between Wages and a Hard Brexit

Published by : Old Mutual Global Investors

The incoming government could fan pay rises while pursuit of a ‘clean’ Brexit might prompt further weakness in sterling.

Published: 23 June 2017

Business Area: UK

Type: Portable Document Format (.pdf)

Economic Snapshot – June 2017

Published by : Sarasin & Partners

In this video, Guy Monson, CIO of Sarasin & Partners, discusses Brexit and its impact on UK and global financial markets.

Published: 21 June 2017

Business Area: Investments

Type: Portable Document Format (.pdf)

UK Election Result Compounds Brexit Uncertainty

Published by : AllianceBernstein

Britain’s election has produced a messy result, with no party securing an outright majority. The hung parliament adds further uncertainty to Brexit talks with the European Union(EU), though it probably won’t affect the UK’s short-term economic outlook. Download this article to learn more.

Published: 13 June 2017

Business Area: Economics

Type: Portable Document Format (.pdf)

The Cost of Trigger-Happy Investing

Published by : AllianceBernstein

Brexit, Trump. There were plenty of big surprises last year. The one that may matter most for investment portfolios is how financial markets responded. It took them three months to process Japan’s unexpected decision in early 2016 to implement a negative-interest-rate policy—and then just a few

Published: 13 June 2017

Business Area: Economics

Type: Portable Document Format (.pdf)