The open-ended UK property sector experienced a turbulent 2016, as the Brexit vote led to a raft of temporary suspensions and questions were raised about the best ways to access this illiquid asset class. At this event, managers will give their outlook for the UK market post-Brexit, as well as highlight where they are finding opportunities on a global basis. They will also explain how they manage liquidity on their funds, and where their strategies could fit into investors’ wider portfolios.

Delegates attending this briefing will also benefit from fantastic networking opportunities, informative Q&A sessions and valuable structured CPD hours.