energy markets
The World is Not Flat: A Global South Perspective on the Ukraine Conflict and Its Economic Shockwaves
A letter from Punjab, India, reveals a Global South perspective on the Ukraine conflict, signaling a major shift for the global economy, finance, and investing.
Geopolitical Tremors: A High-Stakes Ultimatum in Ukraine and the Financial Shockwave Ahead
A hardline ultimatum to Ukraine to sign a peace deal is sending shockwaves through the global economy, impacting finance, investing, and the stock market.
Trump’s 28-Point Ukraine Peace Plan: A Blueprint for Markets or a Geopolitical Minefield?
A detailed 28-point Ukraine peace plan could reshape global markets. We analyze its impact on the economy, investing, finance, and key stock sectors.
Bismarck’s Ghost: Why 19th-Century Russian Strategy Haunts Today’s Global Economy
History offers a stark warning for modern investors. Russia’s current geopolitical stance isn’t new; it was a challenge even for statesman Otto von Bismarck.
Beyond the Headlines: Decoding the New US Sanctions on Russia’s Oil and the Global Economic Fallout
New US sanctions on Russian oil are more than a headline; they’re a complex financial maneuver with global economic and investment implications.
The Unbreakable Tether: Why the U.S. Can’t Escape the Middle East’s Economic Gravity
The long-promised U.S. “Pivot to Asia” remains a strategic dream, repeatedly deferred by the Middle East’s unbreakable economic and security gravity.
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.