bond markets
Thames Water’s Ticking Time Bomb: A Deep Dive into the £18bn Debt Crisis and Its Ripple Effect on the UK Economy
Thames Water is on the brink, with cash until early 2025. A deep dive into its £18bn debt, regulatory battles, and the impact on the UK economy.
The Great Risk Recalibration: What Cautious Investors, French Politics, and European Defense Tell Us About the Global Economy
A deep dive into how cautious bond investors, French politics, and European defense shifts signal a major recalibration of global economic and financial risk.
Macron’s Gambit: What Sébastien Lecornu’s Premiership Means for France’s Economy and Global Investors
Macron’s appointment of Sébastien Lecornu as PM is a high-stakes move to stabilize France’s economy. What does this mean for investors and markets?