Corporate Finance
The £100 Billion Idea: A Simple Fix to Supercharge Britain’s Stagnant Economy
A simple change to R&D tax credits could be the key to solving the UK’s productivity crisis, unlocking billions in investment and driving economic growth.
The $30 Billion Silence: Why Exxon’s Canceled Briefing in Mozambique Spells Trouble for Global Energy Investing
Exxon’s canceled briefing on its $30B Mozambique project signals deep trouble. We unpack the financial risks, geopolitical stakes, and what it means for investors.
The Great Tech Divergence: Why Wall Street Cheered Alphabet and Punished Meta
A tale of two tech titans: Meta’s stock tumbles on massive AI spending plans while Alphabet’s soars on record revenue and its first-ever dividend.
A Tale of Two Titans: Why Wall Street Cheered Google’s AI Strategy and Jeered Meta’s
A tale of two tech titans: Why Alphabet’s stock soared on AI profits and dividends, while Meta’s huge AI spending spooked the market.
The Incredible Shrinking Shopping Cart: How “Shrinkflation” is Silently Eroding Your Wealth
Discover shrinkflation, the hidden inflation eroding your purchasing power, and its impact on the economy, your finances, and investment strategies.
Anatomy of a $12 Billion Corporate Collapse: The Cautionary Tale of First Brands Group
The collapse of First Brands Group under a $12bn debt mountain offers a stark warning about the risks of private equity’s high-leverage playbook.
Inside the $1.5 Trillion AI Ecosystem: OpenAI’s Playbook and the New Kings of Wall Street
Explore OpenAI’s $1.5T deal machine, how KKR & Apollo became Wall Street’s new saviors, and the risks lurking in the world of high-stakes finance.
Amazon’s Layoff Tremors: A Necessary Correction or a Warning Sign for the Global Economy?
Amazon’s rumored layoffs signal a major shift in Big Tech. We analyze the economic, financial, and stock market implications of this pivotal moment.
HSBC’s Profit Plunge: A Strategic Overhaul or a Sign of Deeper Troubles?
HSBC’s 14% profit drop to $7.3bn signals a costly restructuring. Is this a strategic masterstroke for future growth or a sign of deeper trouble?
Petrofac’s Perfect Storm: A Deep Dive into Corporate Collapse and the Future of Energy Finance
Energy giant Petrofac’s collapse offers crucial lessons on debt, risk, and market shifts. We analyze the financial fallout and what it means for investors.
Anatomy of a Downfall: Petrofac’s Collapse and the Hard Lessons for Investors and the Economy
A deep dive into Petrofac’s collapse, exploring the scandal, debt, and restructuring that wiped out shareholders and rocked the UK energy sector.
The £4.6 Billion Handshake: Why Ford’s Pension Deal with Legal & General Signals a Seismic Shift in Corporate Finance
Legal & General’s £4.6bn pension buyout with Ford signals a major shift in corporate finance, driven by economic changes and de-risking strategies.