Investment Strategy
Beyond the Gaffe: How One Remark on NATO Could Reshape Global Finance
A single remark questioning NATO’s mutual defense pact threatens to upend global finance, imperiling the US dollar and shaking the stock market.
Financial Déjà Vu: Are Stablecoins Repeating a 19th-Century Banking Crisis?
The Terra/Luna collapse wasn’t new. It was a 21st-century bank run echoing the 1800s. Discover why history warns of more stablecoin failures.
Beyond the Ticker: Why a Minor Legal Correction Signals a Major Shift in Geopolitical Risk for Investors
A minor legal news item reveals the deep impact of geopolitical risk on finance, investing, and the global economy. Explore the implications for your portfolio.
The Unsurprising Budget: Why Rachel Reeves’s ‘Boring’ Fiscal Plan Could Be a Radical Act for the UK Economy
A satirical take on a future UK Budget reveals a profound truth: in today’s economy, a “boring,” predictable fiscal policy may be the most radical act.
The Cicero Strategy: Why Political Silence on the Economy is the Loudest Signal for Investors
From Cicero to modern politicians, the “promise not to promise” on the economy creates market volatility. See what this means for investors and fintech.
The Leadership Paradox: When Wall Street’s Titans Say One Thing and Do Another
An analysis of the disconnect between the words and actions of leaders like Jamie Dimon, Larry Fink, and Tim Gurner, and what it means for finance.
Cracking the Code: A Crossword Solver’s Guide to Navigating the Financial Markets
Unlock financial markets with a crossword solver’s mindset. This guide deciphers economic clues and investing strategies to help you see the bigger picture.
The Great ISA Shake-Up: What Proposed Rule Changes Mean for Your Investments
A deep dive into the potential overhaul of UK ISA rules, including the “British ISA,” and what it means for investors, the stock market, and the economy.
The Billion-Dollar Glitch: How a Simple Location Tag Exposed Deep Economic Risks in the Digital Age
A minor feature on X exposed major geopolitical risks, highlighting how digital trust directly impacts the economy, investing, and the stock market.
Frozen Billions, Fiery Debates: How Russian Assets Are Fueling a High-Stakes Financial Gambit for Ukraine
G7 nations debate a landmark $50bn loan for Ukraine, backed by profits from frozen Russian assets, blending high-stakes finance with geopolitics.
Ireland’s Trillion-Dollar Vulnerability: The Digital Achilles’ Heel of the Global Economy
Ireland’s neutrality makes it a vital tech hub but also a major security risk for the global economy. What does this mean for investors and finance?
The Great Reversal: How a Shrinking World Will Upend Finance, Investing, and the Global Economy
We are entering a “Great Reversal”—a new era of depopulation that will flip our economic and financial assumptions about growth, inflation, and investing.