Volatility in U.K. markets is compounding six years of extreme disruptions for British companies, starting with Brexit and stretching through the pandemic and the fallout from Russia’s war in Ukraine https://on.wsj.com/3CwMPAl
Brexit tremors intensified in financial markets as the possibility increased that the U.K. could leave the EU without a transition agreement in place https://on.wsj.com/2ROSA2p
China takes a fresh step towards opening up its financial markets and providing the U.K. with a vote of confidence ahead of Brexit https://on.wsj.com/2HtebsT