Investment Strategy
Fueling the Engine: Why a Strong Economy is Britain’s Only Answer to the Worklessness Crisis
Britain’s worklessness crisis is an economic disaster. This post explores why a strong, pro-growth economy is the essential foundation for any solution.
Japan’s Demographic Dilemma: Why More Stimulus Won’t Fix a Shrinking Economy
Japan’s economy faces a demographic cliff. Simply repeating past stimulus policies won’t work. A new path focused on reform and technology is essential.
The Collateral Damage of the Tech Cold War: What a Failed Spy Case Reveals About US-China Economic Strategy
The collapse of a high-profile spy case reveals the deep flaws in US economic strategy toward China, with major implications for investors and business leaders.
UK Budget Preview: Decoding “Targeted Action” and Its Impact on Your Finances, Investments, and the Economy
Chancellor plans targeted cost-of-living relief. We analyze the impact on households, investors, the stock market, and the broader UK economy.
Cross-Border Clash: Why Canada is Drawing a Red Line with Stellantis Over Its North American Future
A standoff between Canada and automaker Stellantis reveals a new, high-stakes battle for manufacturing jobs, driven by aggressive government subsidies.
UK Economy’s Tightrope Walk: What August’s 0.1% Growth Really Means for Your Investments
The UK economy grew by a fragile 0.1% in August. We dissect what this means for investors, the stock market, and the upcoming UK Budget.
UK Economy’s Tightrope Walk: A 0.1% Growth in August – Relief or Red Flag?
A marginal 0.1% UK GDP growth in August reveals a fragile economy on a tightrope, balancing between inflation, recession risk, and sectoral divergence.
The Great Risk Recalibration: What Cautious Investors, French Politics, and European Defense Tell Us About the Global Economy
A deep dive into how cautious bond investors, French politics, and European defense shifts signal a major recalibration of global economic and financial risk.
Grounded: How Government Shutdowns Create Turbulence for the Economy and Your Investments
Political gridlock in Washington causes real-world chaos, grounding flights and creating economic turbulence that impacts the stock market and investors.
The Taiwan Strait: Assessing the Multi-Trillion Dollar Risk to the Global Economy
A deep dive into Taiwan’s defense strategy, its economic leverage, and the multi-trillion dollar risk a conflict poses to the global financial system.
The Green Paradox: Why the Netherlands’ Renewable Success Is a Critical Warning for Global Investors
The Netherlands’ renewable energy success is overloading its power grid, creating a critical warning and a massive investment opportunity in global infrastructure.
The Haiku That Captured a Global Tax Headache: Deconstructing the Economics of Property Levies
A simple haiku in the FT reveals a global frustration with property taxes. This post deconstructs the economics, market impact, and future of this levy.