Geopolitical Risk
Red Flags Over the Dragon: Why China’s Military Shake-Up Demands Your Financial Attention
A sweeping military purge in China raises doubts about its war readiness, creating massive geopolitical and economic risks for investors and global markets.
Beyond the Balance Sheet: The Financial Case for Investing in Peace
Discover why investing in peace and social reconciliation is not just philanthropy, but the ultimate long-term ESG strategy for a stable global economy.
From Ally to Afterthought: The Economic Fallout of Nigeria’s Waning US Influence
A deep dive into the economic and geopolitical shifts that have transformed the US-Nigeria relationship, impacting everything from finance to fintech.
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.
A Diplomatic Freeze: Decoding the Economic Fallout of Colombia’s Intelligence Break with the US
Colombia’s suspension of U.S. intelligence sharing over potential migrant boat strikes signals a major geopolitical shift with deep economic implications.
COP30 Crossroads: Investing in a World Reshaping its Climate Economy
COP30 looms amid geopolitical tension, reshaping climate finance. Explore the new economic landscape for investors, from China’s plans to Brazil’s Amazon economy.
The Trillion-Dollar Typo: Why a 20-Year-Old Correction on the Iraq War Is a Crucial Lesson for Today’s Investors
A small correction about the 2003 Iraq War offers a powerful lesson on how misinformation and narrative risk impact the economy, investing, and fintech.
The Geopolitical Compass: Navigating the New Landscape of Global Finance
Geography is the most underrated force in modern finance, shaping everything from the stock market and fintech innovation to investment risk and the global economy.
The Price of Green: Are EU Climate Rules on a Collision Course with Energy Security?
EU’s 2027 methane rules pit climate goals against energy security, threatening to divert vital gas supplies and roil financial markets. What does this mean?
Hungary’s Political Earthquake: What Péter Magyar’s Rise Means for the European Economy and Global Investors
Péter Magyar’s rise challenges Viktor Orbán, signaling a potential pro-EU shift with major implications for Hungary’s economy, finance, and global investors.
Venezuela on the Brink: An Economic Autopsy and Its Impact on Global Finance
An in-depth analysis of Venezuela’s economic collapse, US sanctions, and the implications for global finance, investing, and geopolitical risk.
The $22 Billion Deal That Vanished: How Geopolitics Just Redrew the Map for Global Finance
A $22bn energy deal collapses under US pressure, revealing a new era where geopolitics can veto global finance and reshape investment risk.