US economy
The Great Disconnect: Decoding the Puzzling Strength of the US Economy
The US economy presents a major puzzle, defying traditional economic models. This analysis explores the paradox of its strength and what it means for investors.
Political Cracks, Economic Quakes: Why Infighting on the Far-Right Matters to Your Portfolio
Political infighting on the far-right signals major economic policy uncertainty, impacting the stock market, investing strategies, and global financial stability.
Beyond the Billions: Decoding Toyota’s $10 Billion Strategic Bet on the American Economy
Toyota’s $10B US investment is a masterclass in strategy, blending geopolitics, supply chain resilience, and a major bet on the American economy’s future.
Beyond the Impasse: The Lasting Economic Scars of the Longest U.S. Government Shutdown
The 2019 U.S. government shutdown was more than a political event; it was a multi-billion dollar shock to the economy with lasting lessons for investors.
Shutdown Over: Dissecting the Economic Fallout and What It Means for Investors
The historic government shutdown is over, but its economic fallout remains. We dissect the financial impact, market reaction, and lessons for investors.
The Mamdani Effect: Why a Local Election Signals a Seismic Shift in Geopolitical Investing
A local NY election signals a major shift in US foreign policy, creating new geopolitical risks and opportunities for investors in finance and technology.
Beyond the Headlines: Why Trump’s BBC Spat is a Critical Signal for Investors
A spat between Donald Trump and the BBC is more than a headline; it’s a key signal of future market volatility, political risk, and economic uncertainty.
Beyond the Beltway: The True Economic Cost of Political Gridlock
The end of the government shutdown is not the end of the story. Explore the multi-billion dollar economic damage and its lasting impact on finance and investing.
The Corporate Handshake: How Swiss Business Leaders Brokered a Landmark US Tariff Reduction
Swiss business leaders spearhead a landmark deal to slash a punishing 39% US tariff to 15%, unlocking major economic and investment opportunities.
Shutdown Averted: Decoding the Economic Fallout and What It Means for Investors
A deal ends the government shutdown, but the economic and market risks linger. Here’s what investors and business leaders need to know now.
The Great Disconnect: Analyzing Market Euphoria Amidst Political Turmoil in Trump’s First Year
A deep dive into 2017, exploring the paradox of low presidential approval ratings alongside a booming stock market and a strong US economy.
Decoding the Fed’s Next Move: John Williams on Inflation, Rate Cuts, and the Future of the Economy
NY Fed President John Williams reveals the Fed’s cautious stance on rate cuts, the path to 2% inflation, and the resilience of the US economy.