International Investing
Coupang’s Crisis: What a 34 Million Account Data Leak Means for Investors and the Global Economy
A massive data leak at Coupang, South Korea’s e-commerce giant, has exposed 34 million accounts, raising alarms for investors and the global economy.
Trump, Xi, and a High-Stakes Phone Call: What It Means for the Global Economy and Your Investments
A phone call between Donald Trump and Japan’s PM hints at major shifts in global economic and security policy, with huge implications for investors.
The Trillion-Dollar Handshake: Decoding the High-Stakes Intersection of Geopolitics and Finance
A look at the intersection of geopolitics and finance, where a trillion-dollar deal overshadowed a major international controversy, reshaping investment risk.
Beyond the Handshake: Decoding the Economic Impact of the “Strongest Ever” US-Japan Alliance
Beyond the handshake, a strong US-Japan alliance has profound implications for the global economy, investing, financial technology, and the stock market.
Economic Warfare: Unpacking the US Sanctions on Russia’s Energy Giants
An in-depth analysis of US sanctions on Russia’s energy giants and the profound impact on global finance, investing, and the economy.
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.
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 Chip War Comes to Europe: Why the Netherlands Just Nationalized a Tech Deal
The Dutch government’s move to block a Chinese-owned firm’s tech acquisition signals a new era of geopolitical risk for investors and the global economy.