Sustainable Finance
The Great Rupture: Mark Carney’s Blueprint for Navigating a Fractured Global Economy
Mark Carney, former Governor of the Bank of England, dissects a “world in rupture,” outlining the new economic playbook for a post-globalization era.
The Trillion-Dollar Blind Spot: Why Indonesia’s Deforestation Plan is a Systemic Risk for Global Finance
Indonesia’s climate plan paradoxically allows for massive deforestation, creating systemic risk for investors, banks, and the global economy.
The Repair Cafe Economy: Why Your Broken Toaster Signals the Next Frontier in Finance and Investing
A local repair cafe offers a powerful glimpse into the circular economy—a multi-trillion-dollar investment frontier reshaping finance, tech, and economics.
The High Price of Silence: Why Corporate America’s Climate Inaction is a Systemic Risk to the Global Economy
Corporate silence on climate policy isn’t just a PR issue; it’s a ticking financial time bomb with systemic risks for the global economy and investors.
Rewilding the Portfolio: Why Natural Capital is the Next Frontier in Finance
A simple garden debate reveals a multi-trillion dollar shift in finance: valuing nature as a core economic asset. Investors and business leaders, take note.
The 2026 Climate Crossroads: Two Major Tests That Will Define the Future of Green Finance
The year 2026 marks a critical test for climate action, as the EU’s carbon tax and major clean energy projects will reshape global finance and trade.
Beyond Infinite Growth: Why Planetary Limits Are the New Frontier for Finance and Investing
Our economic models demand infinite growth, but our planet is finite. This post explores why Earth’s limits are the biggest risk and opportunity in finance.
The Investor’s Blind Spot: From Boiling Lobsters to Your Portfolio’s Bottom Line
A letter about lobsters and chickens reveals a cognitive dissonance that represents a major, unpriced risk for investors in the modern economy.
The Trillion-Dollar Tightrope: Why a Realistic Climate Transition is the Only Investable Path
A successful green transition requires a pragmatic, financially sound approach, not just idealistic goals. This is the only path to sustainable success.
The Unpriced Risk: What Climate Fiction Teaches the World of Finance
Climate fiction isn’t just art; it’s a qualitative risk report. This is what investors and business leaders must understand about pricing climate risk.
Beyond the Holiday Season: Why Year-Round Corporate Generosity is the New Financial Paradigm
Discover why year-round corporate generosity, beyond seasonal charity, is becoming a core tenet of modern finance, ESG investing, and sustainable economics.
The Plastic Price War: Why the EU’s Crackdown on Cheap Imports is a Game-Changer for Investors
The EU is cracking down on cheap plastic imports to save its recycling industry, a move with huge economic and investment implications.