UK Equities
07 Dec 2018 | By Richard Buxton, Ian Ormiston, Mark Nash

Positioning for market volatility

A discussion of the macroeconomic reasons behind market volatility, Brexit, quantitative tightening, and their effects on equities and bonds.

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Richard Buxton, head of UK equities, Mark Nash, head of fixed income, and Ian Ormiston, manager of the Merian Europe (ex UK) Smaller Companies fund, address the reasons behind increased market volatility in 2018, and how investors can position for it.

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Positioning for market volatility

07 Dec 2018 | By Richard Buxton, Ian Ormiston, Mark Nash

A discussion of the macroeconomic reasons behind market volatility, Brexit, quantitative tightening, and their effects on equities and bonds.

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