Standard Chartered: Brexit reinforces 2016’s key investment themes

The unexpected UK referendum outcome may have sent banks scrambling to review and revise their outlooks; however Standard Chartered says that the shock result has served to reinforce its existing view, to prioritise multi-income strategies bolstered with alternative strategies and fixed income, particularly in developed market corporate bonds. According to Clive McDonnell, head of equity investment strategy at the bank, the implications…

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