This content is from: Research These U.K. Brokers Have ‘Thrived’ After Brexit, MiFID II, and Covid-19, these are U.K. investors’ go-to providers for small- and mid-cap research. By Amy Whyte August 04, 2020
This content is from: Corner Office Rolls-Royce Unloads a Portion of its Pension Plan in the U.K.’s Largest Risk Transfer The automaker-turned-aerospace company has shifted nearly $6 billion in U.K. pension liabilities to Legal & General. By Amy Whyte June 06, 2019
This content is from: Portfolio Greenwich Associates: Brexit Will Bring More Pain for Banks and Corporations The firm surveyed U.K. and European companies, which said Brexit’s potential upsides do not outweigh its downsides. By Alicia McElhaney September 05, 2019
This content is from: Culture Hedge Fund Manager Crispin Odey Charged With Indecent Assault The London macro manager, known for volatile returns and outspoken market commentary, denies the charges stemming from an alleged 1998 incident. By Amanda Cantrell July 31, 2020
This content is from: Premium How Tiger Cub Toscafund Is Faring This Year Most of its funds are solidly in the black — with one big exception. By Stephen Taub December 02, 2020
This content is from: Portfolio Cambridge Associates: Investors Should Ignore Brexit Distractions While the future of the U.K. and E.U. warrants monitoring, Brexit does not offer a good foundation for a tactical investment position, according to a Cambridge report. By Alicia McElhaney March 15, 2019