Despite two years passing since the Brexit referendum, we are still some way from knowing how the UK's relationship with the European Union (EU) will evolve in the next few months and years.
In recent months, investors have reacted to a perceived bout of increased uncertainty in global markets as the short-term mood has shifted from one of championing synchronised global growth and reflation to one more of nervousness around emerging markets...
It has been a turbulent few years for UK income investors.
Pharma sector and specialist managers among picks
The UK macro landscape is anything but settled. As Brexit D-Day fast approaches and signs of any tangible progress yet to materialise, markets are gearing up for a prolonged period of uncertainty and confusion.
Stronger underlying dividends
Manager duo on portfolio trends and the unloved UK market
High conviction, value strategy
£1.2bn exited UK equity funds in May