Brexit
The £60 Billion What-If: How Joining the Euro Could Have Funded the NHS and Reshaped the UK Economy
A secret memo reveals joining the Euro could have funded the NHS, reigniting the epic Blair vs. Brown battle that shaped Britain’s economic destiny.
The Customs Union Conundrum: A Game-Changer for the UK Economy or a Political Fantasy?
TUC chief’s call for a UK-EU customs union reignites a critical debate. What would this mean for the UK economy, finance, and investors?
The Sovereignty Paradox: How a Flawed Economic Vision Shaped Brexit’s Reality
A flawed understanding of the EU’s pro-market nature and the paradox of sovereignty led to Brexit’s challenging economic reality.
Flawed Models, Hidden Growth? Debunking the Brexit ‘Doppelgänger’ Narrative
Flawed ‘doppelgänger’ models may be hiding the UK’s post-Brexit economic reality. A deeper look at trade, policy, and a new growth trajectory.
The Unseen Fault Line: How a Tory Split Could Trigger the Next UK Market Shock
A potential split in the UK Conservative party could trigger a major market shock, impacting the economy, stock market, and investor confidence.
The Erasmus+ Reroute: Why the UK’s Potential Return is a Major Signal for the Economy and Investors
The UK’s potential return to the Erasmus+ programme is a major economic signal, impacting human capital, investor confidence, and the UK’s global standing.
JPMorgan’s London Gambit: Why Dimon’s New Tower Signals a New Era for UK Finance
JPMorgan’s new London tower, approved by Jamie Dimon, signals a massive vote of confidence in the UK’s post-Brexit economy and a new political era.
Beyond Borders: Why the EU’s Core Mission is a Multi-Trillion Euro Bet on Economic Stability
The EU’s core mission to defeat nationalism isn’t just political history; it’s the bedrock of European economic stability and a key factor for investors.
Revisiting Brexit: The Economic Imperative Staring Britain in the Face
A provocative analysis of the growing economic case for a “Brexit rerun,” exploring the impact on the UK economy, finance, investing, and the stock market.
Ghosts of Economic Past: Why a 1970s Socialist Blueprint Still Haunts Modern Finance
A 1970s socialist plan to nationalize banks and exit the EEC offers stark lessons for today’s investors on political risk, finance, and the economy.
Beyond Brexit: The New Fault Lines Shaping the UK Economy and Your Investment Strategy
While Brexit’s scars heal, new divisions over immigration and nostalgia are reshaping the UK economy, creating fresh challenges for investors and businesses.
Beyond the Ballot Box: How Voter Sentiments Are Reshaping the Global Economy and Your Investment Strategy
A new survey reveals UK right-wing voters are more anti-immigrant than Trump supporters, signaling major economic and investment risks ahead.