Insights from sovereign investor 5-year study
Since 2013, we’ve conducted over 320 interviews with sovereign investors around the world. Our 5-year anniversary review features key insights and considers what the future may hold.
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Since 2013, we’ve conducted over 320 interviews with sovereign investors around the world. Our 5-year anniversary review features key insights and considers what the future may hold.
Invesco’s Global Market Strategy Office analyses a range of Brexit scenarios: No-Deal risk is high and rising; early elections are possible but may not prevent a no-deal Brexit on 31 October and the UK itself may eventually split.
In a yield-starved, low-growth, low inflation world, emerging markets with higher real growth, inflation and the associated underlying economic vigour may offer an attractive proposition for developed market investors.
After the dramatic defeat of the UK Prime Minister’s EU withdrawal plan, we see five scenarios for the future EU-UK relationship.