Geopolitical Risk
The Vatican’s Other Balance Sheet: Why an Ancient Institution’s Identity Crisis Impacts the Global Economy
An ideological clash within the Catholic Church between globalism and nationalism offers a crucial look into geopolitical trends impacting the global economy.
Political Theater, Economic Tremors: Decoding Trump’s New 10% Tariff on Canada
A new 10% tariff on Canadian goods, sparked by a political ad, sends shockwaves through the economy, impacting investors, businesses, and supply chains.
The EU’s Rightward Tilt: Decoding the Economic Tremors for Investors and Global Markets
The EU’s rightward political shift is a new reality. Discover its profound economic impact on investing, finance, fintech, and the global stock market.
The Dragon and the Eagle Reconvene: Why the Trump-Xi Summit Will Define the Next Decade of Global Finance
The first Trump-Xi meeting since the presidency’s return is set. This summit will define the future of the global economy, finance, and stock market.
The Global Wealth Matrix: Navigating Risk, Law, and Culture in the New Economy
A look at the global wealth landscape, from Abu Dhabi’s legal reforms and Nigeria’s security crisis to the hidden value in Japanese gardens and art markets.
Shadow Diplomacy: How Trump’s Allies are Reshaping Middle East Policy and What It Means for Global Markets
A “diplomatic blitz” by Trump allies in Israel aims to secure a Gaza deal, revealing deep ties between US politics and the global economy.
Trump’s Oil War Gamble: How a Radical Sanctions Plan Could Roil the Global Economy
A radical proposal for secondary sanctions on Russian oil could trigger a global recession. Explore the high-stakes economic and market implications.
Trade War Tremors: Trump Halts Canada Talks—What It Means for the Economy and Your Portfolio
A sudden halt in US-Canada trade talks threatens the economy and stock market. We dissect the impact on finance, investing, and what comes next.
The Dragon and the Pound: Why UK’s Economic Ties with China Outweigh a Public Spy Hunt
Sir Vince Cable argues for prioritizing the UK’s vital trade with China over public spy hunts, a pragmatic stance crucial for the economy and investors.
Digital Sovereignty: Why a Single AWS Outage Exposes a Multitrillion-Dollar Risk to the Global Economy
An AWS outage highlights Europe’s risky over-reliance on US tech, exposing a multitrillion-dollar threat to the global economy and investment portfolios.
The Nuclear Shadow: How Cold War Deterrence Still Underpins the Global Economy
Cold War nuclear deterrence has been an unspoken pillar of global economic stability. A new era of brinkmanship forces investors to confront this reality.
Beyond the Headlines: Why a Single Correction on Hong Kong Protests Matters for Global Investors
A minor media correction about the Hong Kong protests reveals a crucial lesson for investors on geopolitical risk and its impact on the global economy.