stock market
Feast and Fear: Why Wall Street’s Record Profits Are Paired with Dire Economic Warnings
Wall Street giants are reporting record profits fueled by dealmaking, yet their CEOs simultaneously warn of economic bubbles. What does this paradox mean?
The Fed’s Green Light? Powell Signals Rate Cuts Are on the Horizon
Fed Chair Powell signals rate cuts are near as the job market cools and inflation stabilizes. What does this mean for your investments and the economy?
Bubble Trouble on Wall Street? Why Banking Titans Are Sounding the Alarm
Wall Street’s top CEOs are warning of market bubbles. Discover the economic forces behind their concerns and what it means for your investment strategy.
The Great Unraveling: Why the Global Economy’s Old Rules No Longer Apply
The old rules of the global economy are broken. We’ve entered a new age of disorder driven by geopolitics, creating immense risks and new opportunities.
The Trump Effect: Why a Mining Giant is Betting on a U.S. Copper Renaissance
BHP’s CEO calls a potential Trump policy shift ‘breathtaking,’ signaling a possible revival of America’s historic copper mining industry.
Beyond the Ticker: Decoding the Market’s Secrets to Crown a Champion
The FTAV charts quiz crowned a winner, “T-total,” highlighting the crucial skill of decoding economic stories through data visualization in modern finance.
The Tomahawk Doctrine: How a Trump-Zelenskyy Summit Could Trigger a Seismic Shift in Global Finance
A potential Trump-Zelenskyy summit and a proposal to sell missiles could signal a seismic shift from aid to investment, reshaping global finance and markets.
Trump’s Gaza Gambit: A High-Stakes Bet for Global Markets and the Economy
Trump’s potential Gaza plan holds high stakes for the global economy. Its success hinges on US pressure, with major implications for markets and investors.
The Ultimate Black Swan: What Nuclear History Can Teach Modern Investors
Serhii Plokhy’s “The Nuclear Age” offers urgent lessons on geopolitical risk, fear, and the economy, providing a critical perspective for modern investors.
Beyond the Barrel: Deconstructing the Global Oil Surplus and Its Economic Ripple Effects
Oil prices plunged to a five-month low after an IEA report revealed a large surplus, raising concerns about the global economy and its market impact.
GM’s $1.6 Billion U-Turn: A Sobering Reality Check for the EV Revolution and Its Investors
GM takes a $1.6bn charge to scale back EV production, a stark move driven by policy shifts that offers critical lessons for investors and the economy.
France’s Pension Standoff: A High-Stakes Gamble for Macron and the European Economy
French PM’s offer to freeze pension reform until 2027 is a high-stakes gamble with major implications for France’s economy and investor confidence.