US fund managers seek options to hedge against Brexit risk

(Hedgeweek) So far in the media, Brexit has been discussed from an essentially British perspective. But the implications – especially in the case of a no-deal departure from the EU – could have an impact far beyond the borders of the UK. Marianne Scordel of Bougeville Consulting looks at some of the steps US fund managers have taken in an attempt to Brexit-proof their businesses…

To read this article:

This entry was posted in Syndicated. Bookmark the permalink.

Leave a Reply