Investment Strategy
Is Europe’s “Foot on the Neck” of Its Own Tech Future? A CEO’s Warning on Regulation
Liberty Global CEO Mike Fries warns that the EU’s heavy-handed regulation is strangling the telecom sector, hindering investment and economic growth.
AI’s New Cold War: Inside the High-Stakes Battle Between the US and China for Global Dominance
The global battle for AI supremacy is heating up. A deep dive into the US-China rivalry and what it means for the future of finance and the global economy.
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.
The Gilt-Edged Cage: Why the Bond Market Now Rules British Politics
The ghost of the 2022 mini-budget has created a new political reality where the bond market’s approval is paramount, forcing a cautious economic consensus.
Italy’s Economic Crossroads: A New ‘Miracolo’ or a Familiar Malaise?
Italy stands at an economic crossroads. Can EU funds and industrial strength overcome decades of debt and stagnation to spark a new ‘miracolo’?
The Trillion-Dollar Pivot: Why Latin America’s Green Transition is the Next Big Play in Global Finance
Latin America’s shift from fossil fuels is a multi-trillion-dollar opportunity for finance, investing, and fintech. This is the next big global play.
Market Tremors: How a GOP Power Struggle Could Reshape Your Investment Portfolio
A power struggle within the GOP, amplified by new revelations, is creating significant uncertainty for the economy, stock market, and your investments.
The Investor’s Hunger Games: Is Your Portfolio All Spectacle and No Substance?
The “Hunger Games” stage play is a potent metaphor for modern finance, where spectacle often overshadows the substance of real, fundamental value.
Solving the Market’s Crossword: A Strategic Guide to Today’s Financial Puzzles
The global financial market is like a complex crossword puzzle. This guide explores the key “clues”—from macroeconomics to fintech—that investors must solve.
Decoding Bitcoin’s Sideways Shuffle: Why Price Compression Could Signal a Major Breakout
Bitcoin’s price is coiling tight. Discover why this ‘boring’ phase may be a classic accumulation signal and what it means for the future of finance.
The Driving Test Backlog: A Surprising Lesson in Economic Efficiency and Financial Systems
A new driving test rule is a surprising case study in economic efficiency, resource allocation, and the systemic risks that impact finance and investing.
The 25-Year Fossil Fuel Reality: What the IEA’s Stark Warning Means for Your Investments and the Global Economy
The IEA issues a stark warning: without major policy shifts, oil and gas demand will rise for 25 years. What does this mean for investors and the economy?