risk management
The Editor’s Dilemma: What a 1930s Newspaper Game Reveals About Modern Finance and Ethical Investing
A media management game reveals timeless lessons about corporate finance, ethical investing, and the difficult balance between profitability and principle.
Solving the Market: An Investor’s Guide to Thinking Like a Crossword Master
Discover how the strategic mindset of a crossword solver can be applied to investing, helping you navigate the complex puzzle of the modern economy.
The Unpriced Risk: What Climate Fiction Teaches the World of Finance
Climate fiction isn’t just art; it’s a qualitative risk report. This is what investors and business leaders must understand about pricing climate risk.
The Quant Who Broke the World: Robert McNamara’s Cautionary Tale for Modern Finance and Leadership
A brilliant technocrat’s journey from corporate savior to wartime architect offers a chilling cautionary tale for today’s data-driven leaders and investors.
Geopolitical Tremors: Decoding the Economic Fallout of US Military Strikes in Nigeria
A single military event has far-reaching economic and financial consequences. We explore the impact on investing, fintech, and the global economy.
Bullseye Investing: Why the World of Finance is Obsessed with the Darts Craze
Discover the surprising parallels between professional darts and high-stakes finance, and why City executives are flocking to the World Darts Championship.
The Narcissist’s Portfolio: A Literary Warning on Isolation in the Modern Economy
A literary review of a Nobel laureate’s novel offers a chilling allegory for investors and leaders on the dangers of narcissism and echo chambers in finance.
The Marty Supreme Doctrine: What a Fictional Ping-Pong Thriller Reveals About Today’s High-Stakes Financial Markets
A fictional film about a ping-pong thriller offers a surprisingly potent allegory for modern finance, from high-frequency trading to fintech disruption.
The Mr. Collins Conundrum: Is Your Financial AI a Sycophant in Disguise?
A witty letter to the FT about a “Mr. Collins chatbot” reveals a serious risk in financial AI: are we building sycophants instead of critical advisors?
The Swedish Christmas Portfolio: Building Financial Resilience in a Volatile World
Discover how the principles of a fairytale Swedish Christmas can guide a resilient investment strategy in today’s volatile global economy.
The Bondi Principle: Why Courage is the Most Undervalued Asset in Finance and Leadership
The heroism at Bondi Beach offers a powerful lesson for leaders in finance and business on the value of courage in an era of risk aversion.
A Canary in the Coal Mine? Why Australia’s $200 Billion Pension Fund is Selling AI Stocks
Australia’s biggest pension fund is cutting stocks over AI fears. Is this a warning sign for the market, or a prudent move in a frothy environment?