Today marks two months since the UK’s EU Referendum result. And I am tempted to count how many times the word Brexit has been used by journalists, commentators, politicians and economists – myself included – in that time. Continue reading
FTSE
Chief Economist’s Weekly Brief – Wait and see
The first full post-referendum week was nothing if not eventful. Financial markets were volatile and uncertainty about economic policy has jumped. We await tomorrow’s publication of the Financial Stability Report and yet another opportunity for the Bank of England’s policy makers to offer their views. Continue reading
Chief Economist’s Weekly Brief – Heading towards the exit
Economic data will be closely scrutinised for evidence of the impact of the UK’s referendum result to leave the European Union. But in the immediate aftermath of the vote the political changes were already occurring. Continue reading