As Theresa May meets European leaders seeking a better Brexit deal, the UK economy heads for a period of heightened uncertainty and stagflation.
Investors have shunned UK equities as a result of uncertainty related to Brexit. Against this backdrop, UK equities fund managers Sue Noffke and Andy Brough explain how they’re looking at the market heading into 2019.
Global Investor Study
A major global study found UK investors expect their portfolios to return more than 8% annually over the next five years.
Our inescapable truths are the economic forces and disruptive forces we think will shape the investment landscape over the years to come.