As June is soon approaching, British voters have to decide whether they want their country to stay in, or leave, the European Union. No matter what that outcome is, investors are eager to know what the impact will be on their portfolios; articles and videos related to Brexit are among the most read on Morningstar.co.uk.
Here are the top 10 articles and videos from Morningstar.co.uk, as chosen by fellow Morningstar.co.uk readers over the past week.
Top 20 FTSE 350 Dividend Paying Stocks
UPDATED FEBRUARY 2016: A well-blended portfolio of stocks from the FTSE 350 can provide investors with a diversified sustainable income for life
The Discounted Cash Flow Method
Investors should consider using the Discounted Cash Flow (DCF) method to estimate the absolute value of a company
Top 20 FTSE 100 Dividend Paying Stocks
THE INCOME INVESTOR: The largest companies in the UK source their revenues internationally, meaning your dividend stream is boosted by global economic growth
A guide to fund investing for beginners... and a reminder of the basics for those more experienced investors who need a re-cap
Investor Views: “My Pension Has Grown 10% a Year for 25 Years”
Private investor, Jeff Bulled tells Morningstar how canny pension decisions mean he’s now concentrating on ISAs - as he is nearing his Lifetime Allowance
Hobson: Investors Should Not Fear Brexit
THE WEEK: Morningstar columnist is unfazed by the prospect of Brexit - he remains convinced that it is right to stay fully invested and "hang the consequences"
Bogle: Smart Beta Does Not Deliver Better Returns
LOW COST FUNDS: Vanguard founder Jack Bogle says investors should stick to market-cap weighted passive funds - strategic beta will not outperform over the long term
Buxton: Britain Will Not Leave the EU
Brexit will not happen, says Old Mutual Global Investors' chief executive Richard Buxton. But there are challenges ahead for the global economy
3 Utility Stocks to Replace Bonds for Income Seekers
A US interest rate hike is off the table; we reveal three US income stocks with sustainable yields that generate a better return than government bond yields
When Does Market Volatility Matter to Your Investment Portfolio?
Long-term investors should embrace volatility, says Morningstar Investment Management's Dan Kemp - as it offers opportunities not risk