risk management
Beyond the Grid: What the FT Crossword Reveals About Mastering Modern Finance
Discover the surprising link between solving crosswords and mastering finance. Learn how puzzle-solving skills translate to success in investing and trading.
The Politicization of the Portfolio: How State Interference Puts US Companies and Investors at Risk
State-level political interference in corporate strategy is creating new risks for US companies, investors, and the broader economy.
The Greenland Glitch: What a Minor Fault on Air Force One Reveals About Major Risks in the Global Economy
A minor fault on Air Force One reveals a major lesson on systemic risk, economic fragility, and the importance of resilience for investors and leaders.
The Anna Karenina Principle of Investing: Why Every Financial Failure is Uniquely Tragic
Tolstoy’s Anna Karenina Principle reveals a key truth about finance: successful investors are all alike, but every failed investor fails in their own way.
Beyond the Balance Sheet: The Air India Crash Allegations and a Sobering Lesson in Investment Risk
Allegations of safety defects on a crashed Air India plane offer a stark lesson on the hidden financial risks of corporate acquisitions and their market impact.
The ‘Devdas’ Dilemma: Timeless Lessons on Wealth, Risk, and the Modern Economy
A Bollywood classic’s opulence reveals timeless truths about modern investing, financial technology, and building resilient wealth in today’s economy.
When Luxury Fails: What Saks’ Bankruptcy Reveals About Amazon and the Tech World’s Hidden Risks
Amazon’s $3.2M claim in Saks’ bankruptcy reveals the hidden risks of the cloud economy, offering crucial lessons for startups, developers, and tech leaders.
The VAR Paradox: Why We Forgive Human Error But Despise Flawed Algorithms in Finance
The backlash against VAR in football reveals a critical lesson for finance: we are far less tolerant of machine errors than human ones.
Beyond Sanctions: A Central Banker’s Stark Warning on Preparing Europe’s Financial System for War
A top ECB policymaker warns Europe is “at war” with Russia, urging a radical overhaul to prepare the financial system for direct military conflict.
The Cellular Secret to Economic Stability: What Biology Teaches Us About Supply Chains, Fintech, and Market Crashes
A lesson from cellular biology reveals why supply chains, fintech, and the stock market are more fragile than they seem, all thanks to queueing theory.
Solving the Market: How to Think Like a Crossword Master to Decode the Economy
Discover how the strategic mindset of a crossword master can unlock profound insights into navigating the complex, interconnected world of finance and investing.
Beyond the Box Office: How Affleck and Damon’s Netflix Deal is Rewriting Hollywood’s Financial Script
Ben Affleck and Matt Damon’s Netflix deal for “The Rip” introduces a revolutionary financial model that could reshape Hollywood’s entire economic landscape.