The decision by the United Kingdom population to leave the European Union caused much volatility in financial markets in the immediate aftermath and has thrown considerable doubt around the future trajectory of the UK and particularly London property markets. While the extreme volatility has now moderated, the medium term outlook remains uncertain as both sides prepare for mammoth negotiations.
There are many factors to consider, both positive and negative. In this note we look in more detail at some of the major influences on the London residential market in the short to medium term.
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