In 2022, UK investors were confronted with the effects of Russia’s invasion of Ukraine, not least through spiralling inflation, a resurgent energy sector and the rotation of market leadership this created. Alongside this, domestic politics, particularly September’s mini-budget, brought their own challenges.
This webinar reveals the effects this had on fund sector performance, and where investors chose to invest—and disinvest—their money as a result, in a year that saw the largest UK negative flows on record.
To say that this year has been difficult for investors is an understatement, to say the ...
Speaking to Elena Casa on @ReutersBiz about ESG fund redemptions, greenwashing and ...
Chatting with Dewi John of Refinitiv Lipper about the performance of ESG funds. Is the ...
Refinitiv Lipper head of research for UK & Ireland discusses what fund flows say ...