investing
The Brexit Reset: How Labour’s Proposed EU Pivot Could Reshape UK Finance and Investment
A “Brexit reset” could reshape UK finance. We analyze Labour’s plan for closer EU ties and its impact on the economy, investing, and financial technology.
Beyond the Headlines: Decoding the Financial Impact of Global Power Plays
Geopolitical shifts in Venezuela, Greenland, and France are creating new risks and opportunities. Discover the deep financial impact on markets and investors.
The £225 Grant: Why Macro Investors Should Care About Micro-Economics
A small £225 grant reveals deep connections between social finance, economic stability, and fintech innovation, holding key lessons for investors.
The Billion-Dollar Bite: Analyzing the Economic Fallout of the UK’s Junk Food Ad Ban
The UK’s junk food ad ban is a major market event, impacting the stock market, corporate finance, and the wider economy. See our analysis here.
Geopolitical Shockwaves: Why Maduro’s Capture Sent Gold Soaring and What It Means for Your Portfolio
A major geopolitical event triggers a flight to safety, sending gold prices soaring. We explore why this happens and what it means for the modern investor.
The Concert Economy: Deconstructing the Billion-Dollar Business of Live Music
Explore the financial evolution of live music, from a promotional tool to a billion-dollar industry driving the experience economy.
The Tariff Trap: Why U.S. Trade Policy Is Being Undermined by a Hidden Economic Force
U.S. tariffs, meant to shrink the trade deficit, are being undermined by a stronger dollar fueled by capital inflows. Explore the real economic forces at play.
Beyond 2050: The Urgent Financial Case for Tackling Near-Term Climate Change
Focusing on “Net Zero by 2050” ignores the urgent need to cut near-term warming. The smart financial strategy is to target super pollutants like methane.
The New Gold Rush: Why Investing in Recycled Magnets is a Geopolitical Masterstroke
Europe’s push to recycle rare earth magnets is a major geopolitical and economic move, creating new investment opportunities in the circular economy.
The Kennedy Playbook: How a 60-Year-Old Crisis Offers a Masterclass in Modern Investing
A 1962 crisis offers a masterclass in risk management. Learn how JFK’s de-escalation strategy provides a powerful playbook for today’s investors.
Maduro on Trial: The High-Stakes Legal Battle Redefining Global Finance and Presidential Power
A landmark U.S. legal case against Venezuela’s Maduro tests presidential immunity, with major implications for global finance, investing, and geopolitics.
The Concert Economy: How Live Music Became a Billion-Dollar Asset Class
Discover how live music evolved from a promotional tool into a billion-dollar asset class, driven by technology, finance, and the experience economy.