Investment Strategy
The Silent Collapse: Why the North Sea’s Worst Year Since the 70s Is a Red Flag for the Global Economy
North Sea oil and gas exploration has hit a 60-year low, signaling a major crisis for the UK economy, investors, and the global energy market.
The ‘Run Away’ Economy: Decoding Competing Plotlines in Your Investment Portfolio
Like a Harlan Coben thriller, today’s economy is full of twists. Learn to navigate the competing plotlines and secure your financial future.
The Investor’s Guide to the 2026 HTSI Schedule: Decoding Luxury Trends for Market Advantage
Discover the 2026 HTSI schedule and learn how to leverage luxury market trends as a leading indicator for the economy, investing, and financial strategy.
The Social Capital Deficit: Why the Wellness Boom Could Cost the Economy Billions
The wellness boom’s focus on self-optimization is eroding social capital, posing a hidden risk to the economy. This is why leaders must pivot to service.
The Week in Review: 5 Critical Market Signals and What They Mean for Your Portfolio
From central bank pivots to AI mega-mergers, we decode the week’s key financial signals and explain their impact on investing, the economy, and fintech.
The Ramen Principle: What a Noodle Bar Can Teach Us About Core Asset Investing
A restaurant review reveals powerful lessons for finance and investing, showing how a focus on core assets and niche markets drives sustainable growth.
The Canary in the Coal Mine: What a Cancelled Grouse Hunt in 1973 Teaches Us About Today’s Economy
A 1973 oil crisis cancelled a traditional grouse hunt, offering a timeless lesson on economic shocks, risk, and second-order effects for modern investors.
The Art of Disruption: What Modernist Drawings Reveal About Today’s Financial Markets
Modernist art offers a powerful lens to view financial disruption. Learn how principles from Picasso can inform your investment and business strategy today.
The Playwright’s Portfolio: What Alan Ayckbourn Can Teach Us About Market Trust and Investment Strategy
A playwright’s startling admission of “betraying the audience” holds powerful lessons for finance, investing, and business on the unbreakable currency of trust.
Beyond the Battlefield: How a Deepening Saudi-UAE Rift Could Reshape Global Markets
A “friendly fire” incident in Yemen reveals a deep rift between Saudi Arabia and the UAE, with major implications for the global economy and investors.
Savoring the ‘January Effect’: A Financial Feast in the Food & Drink Economy
Discover how January’s food and drink trends offer a powerful lens into the economy, investing, stock market behavior, and the impact of fintech.
Echoes from the Archive: Timeless Lessons on Power, Innovation, and Risk for Today’s Investor
A journey into the FT archives reveals timeless lessons on innovation, political risk, and the human drama behind the markets.