BofA Merrill Lynch survey
Investment sector reaction
Multi-asset managers have started reinvesting their high cash positions, with many topping up European exposure as Greece finally reaches a new deal with its creditors.
The bond market faces "strong headwinds" for some time as summer volatility returns and markets anticipate interest rate hikes, according to Invesco Perpetual's fixed income team.
Winners of the Fund Manager of the Year Awards 2015
...why it's not like 2012 for investors, in five easy pieces
European markets are down but stable in early trading after the Greek people voted against further austerity, with the UK's leading index hit least hard.
Can I call the end of the 30-year bond bull market now?
Optimistic UK investors expect to achieve 8% returns over the next 12 months despite most eyeing low risk-low reward assets for their portfolios, according to research.
Neil Woodford has questioned the viability of the British electoral system following the surprisingly decisive result of the general election.