Best Blogs of the Week (SPECIAL – BREXIT II)

Courtesy Mike Steele, BREXIT

Best Blogs of the Week (SPECIAL – BREXIT II)

Shocking the capital markets globally, the referendum to leave the EU passed. BREXIT. Asset managers were ready with comment. The proceeding table aggregates industry blog posts on Friday (only). This is an impressive volume (e-mail me if you’re seeking a perspective on quality) though as you see very little thought went to titling these posts. Of the titles below, BlackRock and WisdomTree clearly put thought into their respective titles.

Asset Manager Blog Post
American Century Our Views on the Brexit Vote
BlackRock What data can tell us about the Brexit vote

5 key takeaways from the Brexit vote

Fenimore Brexit & The value of patience
Franklin Templeton In The Know: The UK Votes to Leave the EU

Brexit: How Quickly May the Surprise Wear Off?

A Global Macro View of Brexit Implications

Invesco UK votes for ‘Brexit’

Beyond Brexit: What happens next?

M & G Bond market reaction to UK “Leave” vote
MFS Brexit Rattles the Market
Natixis Brexit Interviews: Implications of the vote

Brexit Vote: The New Unknowns

PIMCO Brexit: Initial Impact and the Road Ahead

Brexit’s Impact on the Eurozone

 TIAA Response to Brexit requires long-term perspective – UPDATED
Wells Fargo Brexit: Buy the dip, or wait?

Brexit vote sends shock waves through markets

William Blair Brexit Update: Our Base Case Scenario
WisdomTree Sterling’s Structural vs. Euro’s Political Weakness: “Brexit” Opens Opportunities