The United Kingdom has been declared as an overweight position in the Outlook 2025 report by UBS analysts. This strategic decision is based on five key reasons.
According to Chief global equity strategist Andrew Garthwaite, the UK tends to perform well when defensive sectors are strong, indicating a favorable market environment for investors. The report suggests that the UK market's ability to withstand economic challenges makes it an attractive option for investors seeking stability. UBS's analysis reflects a broader confidence in the UK's potential for growth, particularly in sectors that traditionally provide a buffer during market volatility.