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Ongoing Impact of Brexit Referendum

The CFOs of Investment Firms with strong UK equity franchises will be belt tightening until July..

 

Global fund managers are avoiding UK stocks in the run-up to a referendum on Britain’s membership of the EU, as the chance of a Brexit now tops investors’ worry list. Fund allocations to UK equities have fallen to their lowest levels since November 2008, according to Bank of America Merrill Lynch.

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asset & wealth management

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