Fidelity Multi Asset portfolio manager Bill McQuaker talks to Julian Marr about his contrarian approach to commodities and the different ways he believes Brexit could play out.
This short video interview covers the following points: * McQuaker's opinions on the different scenarios for the UK leaving the European Union. * Their implications for the various asset classes. * How to play Brexit through multi-asset portfolios. * The outlook for the commodities sector and McQuaker's contrarian approach to investing in this asset class.
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