Geopolitical Risk
The Price of Green: Are EU Climate Rules on a Collision Course with Energy Security?
EU’s 2027 methane rules pit climate goals against energy security, threatening to divert vital gas supplies and roil financial markets. What does this mean?
Hungary’s Political Earthquake: What Péter Magyar’s Rise Means for the European Economy and Global Investors
Péter Magyar’s rise challenges Viktor Orbán, signaling a potential pro-EU shift with major implications for Hungary’s economy, finance, and global investors.
Venezuela on the Brink: An Economic Autopsy and Its Impact on Global Finance
An in-depth analysis of Venezuela’s economic collapse, US sanctions, and the implications for global finance, investing, and geopolitical risk.
The $22 Billion Deal That Vanished: How Geopolitics Just Redrew the Map for Global Finance
A $22bn energy deal collapses under US pressure, revealing a new era where geopolitics can veto global finance and reshape investment risk.
The New Atomic Balance Sheet: How a Looming Arms Race Impacts Your Investment Portfolio
A potential new arms race between Russia and the U.S. has profound implications for the global economy, stock market, and your investment strategy.
A Triple Threat to Global Stability: Decoding UK Tax Hikes, “Zombie Trusts,” and Geopolitical Crises
An expert analysis of three global threats: potential UK tax hikes, Liechtenstein’s “zombie trusts,” and the economic fallout from the Sudan famine.
The Uncontainable Genie: Why AI Defies Cold War Rules and What It Means for Global Finance
AI is not like nuclear weapons; it’s an uncontainable technology that defies Cold War rules, posing new systemic risks for finance, investing, and the economy.
Beyond the Banks: Hezbollah’s Pivot to Fintech and What It Means for Global Finance
Sanctioned groups linked to Hezbollah are exploiting fintech platforms like PayPal and crypto for fundraising, posing a new threat to global financial security.
Brazil’s Security Crisis: A Red Flag for the Economy and Global Finance?
A deadly police raid in Brazil exposes deep political weakness, signaling significant economic risks and instability for investors and global finance leaders.
Market Tremors: Analyzing the Financial Fallout of a Public Safety Crisis
A tragic public safety crisis sends shockwaves through the economy. We analyze the impact on the stock market, investing, and the role of financial technology.
Mali on the Brink: Why a Sahel Crisis Is a Red Flag for the Global Economy
The encirclement of Mali’s capital by jihadists signals a state collapse with dire consequences for the global economy, investors, and regional stability.
The Mandate’s Shadow: How a Century-Old British Policy Shapes Today’s Middle East Markets
To understand today’s Mideast market volatility, we must look to the British Mandate, whose economic policies created a legacy of risk for modern investors.