All Brexit articles – Page 8
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News
European, Asian companies lower outlook post-Brexit – Fidelity
Fidelity analysts say companies becoming less willing to invest in UK, but outlook for US improving
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News
PLSA calls for Brexit deal that supports UK pension funds
‘On no account’ could pension funds support future with no EU access, industry group says
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News
UK ‘could ignore’ European share-ownership rules
Timing of Shareholder Rights Directive clashes with Brexit timetable
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News
Asset managers 'could push back on reform' due to Brexit
Think-tank says firms could lobby for deregulation to ease transition to life outside EU
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News
IPE Conference: EU ‘one election away from collapse’
Former Polish foreign minister says ‘three vulnerabilities’ need to be fixed to tackle populism
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News
EFAMA: Brexit already raising questions for EU regulation
Brexit theme filtering into daily discussions of variety of topics in European Parliament
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News
IPE Conference: Markets mispricing risk from future effects of Brexit
Rise of nationalism another headwind facing investors, says Amin Rajan
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Special Report
Outlook 2017: Breaking up is hard
The UK referendum result raises the possibility of other countries leaving the European Union. Christoph Schon and William Morokoff examine the impact of such a scenario
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Special Report
Risk parity post-Brexit
Despite the increase in risk in many asset classes from a year ago, risk parity funds have weathered this summer’s volatile markets
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News
Weaker sterling feeds through to Swiss pension funding boost
Equity markets main driver of 1.8-percentage-point rise in Willis Towers Watson pension index
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Opinion Pieces
Guest Viewpoint: Peter Kraneveld - International Pensions Adviser
Pension funds are not about politics, but their investment portfolios include political risk
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News
Post-Brexit access to global talent of 'utmost importance', says IA
UK Investment Association survey shows increased interest in solutions-based strategies
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Interviews
On the Record: Does Brexit change your investment strategy?
Three pension funds - APK Pensionskasse, ÄVWL and PFA pension - discuss Brexit’s impact
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Country Report
Pensions In UK: Of Brexit, deficits and LDI
With a potential Brexit in sight, Carlo Svaluto Moreolo asks whether the assumptions underlying liability-driven investment (LDI) need to be reconsidered
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Special Report
Brexit Papers: OK, what shall we do?
Robin Ellison, head of strategic development for pensions at Pinsent Masons and former chairman of the UK Pensions & Lifetime Savings Association, discusses how Brexit uncertainty is impacting the pension fund industry
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Features
Focus Group: The fall-out from Brexit
Thirteen (62%) of the investors polled for this month’s Focus Group expect the European economy will be worse off once Britain leaves the European Union
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Special Report
Brexit Papers: Brexit, bonds and deficits
For Tapan Datta, global head of asset allocation at Aon Hewitt, Brexit is only the latest chapter in the saga of ever-lower Gilt yields and their associated funding challenges
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Special Report
Brexit Papers: Real Assets - One small sliver of sunlight
Private debt markets are expected to be relatively resilient post-Brexit, according to Bfinance
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Special Report
Asset manager playbook
As the dust settles following the UK referendum vote on 23 June, Theresa May, the new UK prime minister has been clear: “Brexit means Brexit”.
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Special Report
Brexit Papers: Challenges for asset allocation
Andrew Milligan, head of global strategy at Standard Life Investments, explores what Brexit means for investors and pension funds across Europe