Geopolitical Risk
Kremlin’s Old Ghost: Why New Charges Against a Former Oligarch Rattle Global Finance
Russia’s new charges against Mikhail Khodorkovsky are a critical signal for investors about geopolitical risk and the stability of the Russian economy.
Beyond the Pitch: How Geopolitical Tensions Are Redrawing the Global Financial Map
A football match security alert reveals the new reality: geopolitical risk is now a core driver of the economy, markets, and investment strategy.
Beyond the Headlines: The Economic Ripple Effects of Israel’s Hostage Release
Beyond the human joy, Israel’s hostage release sends significant ripples through its economy, stock market, and the world of geopolitical risk investing.
Scotland’s Independence Gambit: An Economic Escape or a Leap into the Unknown?
John Swinney claims a UK “race to the right” makes Scottish independence an economic necessity. We analyze the financial implications for investors.
A New Dawn in the Middle East: Unpacking the Economic Shockwaves of the Landmark Peace Accord
A landmark peace deal sees Hamas and Israel exchange hostages and prisoners, signaling a major geopolitical shift with profound impacts on the global economy.
The Price of Politics: Why Your Next Global Deal Could Come with a Hefty Discount
The Nexperia case in the Netherlands heralds a new era of M&A, where geopolitical risk forces a “political risk discount” on international deals.
The Spy Who Billed the Market: Why a Failed Espionage Case is a Major Red Flag for Investors
A failed UK spy case reveals deep geopolitical risks, signaling a new era of volatility for investors and the global economy.
The Great Wall of Westminster: How UK Politics is Redrawing the Map for Finance and Investment with China
Political tensions in Westminster are reshaping UK-China relations, creating significant risks and challenges for investors, finance, and the UK economy.
Macron’s Gambit: What Sébastien Lecornu’s Premiership Means for France’s Economy and Global Investors
Macron’s appointment of Sébastien Lecornu as PM is a high-stakes move to stabilize France’s economy. What does this mean for investors and markets?
Caught in the Crossfire: China’s New Sanctions Signal a Wider Economic War
China’s sanctions on a South Korean firm mark a major escalation, pulling allies into the US-China trade war and creating new risks for the global economy.
The Chip War Hits Home: Why the Netherlands Just Seized a Chinese-Owned Tech Firm
The Dutch government’s move to force the sale of a Chinese-owned chipmaker signals a new era of geopolitical risk for investors and the global economy.
The New Iron Curtain: How US & UK Immigration Policies are Reshaping the Global Economy
US & UK immigration shifts are creating a boom for lawyers and a major challenge for the global economy, impacting finance, tech, and investment strategy.