geopolitics
The New Cold War is Frozen: Why a US Envoy to Greenland is a Major Signal for Global Investors
A minor US envoy appointment to Greenland signals a major geopolitical shift, with huge implications for the global economy, investing, and resource security.
The New Protectionism: Is 19th-Century Economic Nostalgia a Threat to Modern Finance?
A “protectionist nostalgia” is challenging decades of free trade consensus. Explore its historical roots and its impact on modern finance, investing, and the economy.
The Great Pharma Migration: Why Europe is Losing Billions in Investment to the US
Europe’s pharma industry faces a crisis as US incentives like the IRA lure away billions in investment, threatening the continent’s economic future.
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.
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.
Beyond the Budget: Decoding the UK’s Historic Aid Cuts and What They Mean for Global Finance
The UK’s foreign aid is set for a historic fall. We decode the economic impact, the risks for investors, and the future of global finance.
The ECB’s Playbook: Christine Lagarde on Navigating Europe’s “Existential Crisis”
ECB President Christine Lagarde discusses Europe’s inflation battle, geopolitical shifts, the need for a Capital Markets Union, and the Digital Euro.
2025 and Beyond: Navigating the Economic Tremors of a Potential Trump 2.0
A potential Trump 2.0 could reshape the global economy. Explore the policy risks, market impacts, and strategic playbook for investors and business leaders.
High-Stakes on the High Seas: The Economic Fallout of the Latest US-Venezuela Tanker Seizure
A US tanker seizure is more than a headline; it’s a key move in an economic war with deep implications for oil markets, investing, and global finance.
Beyond the Blockade: How a Venezuelan Oil Tanker is Sending Ripples Through the Global Economy
A US pursuit of a Venezuelan tanker is more than a news headline; it’s a major event with deep implications for the global economy, oil markets, and finance.
Geopolitical Tremors in the Oil Market: Why the Seizure of a Venezuelan Tanker Matters for Your Portfolio
A US move against a Venezuelan oil tanker signals a major escalation, with deep implications for the global economy, energy markets, and your investment portfolio.
High Seas Standoff: How a US Intercept of Venezuelan Oil Shakes Global Finance and Your Portfolio
A US Coast Guard interception of a Venezuelan oil tanker reveals a high-stakes geopolitical game with deep implications for global finance, investing, and the economy.