US-China relations
The Dragon and the Eagle Reconvene: Why the Trump-Xi Summit Will Define the Next Decade of Global Finance
The first Trump-Xi meeting since the presidency’s return is set. This summit will define the future of the global economy, finance, and stock market.
Beyond Beijing: Why Australian Rare Earths Are the Hottest Ticket in Geopolitical Investing
The US-China tech war has turned Australian rare earth miners into global rock stars, creating a unique and powerful new trend for geopolitical investing.
The Trillion-Dollar Handshake: Unpacking the Global Economic Stakes of the Trump-Xi Summit
A deep dive into the Trump-Xi summit’s impact on the global economy, stock market, finance, and investment strategies.
The End of an Era: Navigating the “Messy” Transition to a Post-American World
Singapore’s PM warns of a “messy” post-American world. Discover what this geopolitical shift means for the economy, finance, and your investment strategy.
The Post-American World: Singapore’s PM Warns of Turbulence, Here’s How Investors Should Prepare
Singapore’s PM Lawrence Wong warns of a turbulent transition to a multipolar world. Discover the economic implications and how investors can navigate this.
Navigating the Dragon’s Headwinds: China’s Economy, US Tensions, and What It Means for Global Investors
China’s economy faces a critical test as internal property woes and weak demand collide with escalating US trade tensions. What does this mean for investors?
Inside the Gilded Cage: Global Finance on the Brink as US-China Tensions Boil Over
A look inside the IMF meetings reveals a fractured global economy, where US strength and escalating US-China tensions set the stage for a new era of risk.
China’s Tech Dragon Wakes: Inside the New 5-Year Plan Shaping the Global Economy
China’s new 5-year plan signals a major economic shift, prioritizing high-tech self-sufficiency and domestic consumption amid US tensions and deflation fears.
China’s High-Tech Gambit: Decoding the New 5-Year Plan for a Global Economy in Flux
China’s new 5-year plan signals a major pivot to tech self-reliance and domestic consumption amid US tensions, reshaping global finance and investment.
The Ghost in the Machine: Why a 40-Year-Old Warning About China Still Dominates Global Finance
A 40-year-old warning about China’s economic reforms offers the key to understanding today’s market risks, from tech crackdowns to the digital yuan.
The Dragon’s Grip: Why China’s Social Crackdown is a Critical Red Flag for Global Investors
Beijing’s social crackdowns are more than a human rights issue; they’re a critical risk signal for investors, impacting the economy and global finance.
Global Crossroads: Decoding China’s Economic Gambit, the Fed’s Next Move, and Rising Geopolitical Tensions
Unpacking global market shifts: Scott Bessent’s China warning, Kremlin’s political risk, and Jay Powell’s signals for a potential Fed rate cut.