investing
Political Fault Lines & Market Tremors: Why Investors Can’t Ignore America’s Partisan Divide
Unprecedented political polarization is a key market risk. Discover its impact on the economy, investing, and your portfolio in a hyper-partisan America.
The Unwanted Gift Economy: Turning Holiday Liabilities into Financial Assets
Unwanted holiday gifts represent a multi-billion dollar market inefficiency. Learn how to turn these liabilities into assets using a strategic financial framework.
The Cassandra of Wall Street Speaks: Why Michael Burry’s New ‘Big Short’ Is a Warning for the Global Economy
Michael Burry of ‘The Big Short’ fame is betting against the stock market again. We analyze his thesis, the economic risks, and what it means for you.
The Amandaland Portfolio: What a TV Christmas Special Reveals About Legacy Wealth and FinTech Disruption
A TV Christmas special offers a surprisingly potent allegory for the clash between legacy finance, traditional banking, and FinTech disruption.
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.
Uncorking the Downturn: Why the Fine Wine Investment Market is Leaving a Sour Taste
Fine wine investors face a third year of falling prices, as geopolitical tariffs and economic pressures create a challenging market correction.
The TikTok Ticker: How Viral Videos Are Reshaping Luxury Investing and the Global Economy
TikTok is no longer just for trends; it’s a powerful engine for luxury sales, reshaping investment strategies and the global economy.
Decoding ‘6-7’: Why Generation Alpha’s Language Will Redefine the Future of Finance and Investing
Generation Alpha’s digital language, symbolized by “6-7,” is a leading indicator of a seismic shift in finance, investing, and the global economy.
The Louvre’s Ledger: Decoding a Financial Crisis at the World’s Most Famous Museum
The Louvre faces a financial crisis, pitting a €1.15bn revamp against urgent operational needs. A case study in finance, strategy, and management.
The Great Deceleration: Why the Middle East’s IPO Frenzy Is Hitting the Brakes
The Middle East’s post-pandemic IPO boom is fading, with capital raised falling by a third. Discover the reasons why and what’s next for the region.
Bullseye Investing: Why the World of Finance is Obsessed with the Darts Craze
Discover the surprising parallels between professional darts and high-stakes finance, and why City executives are flocking to the World Darts Championship.
The Soul of the Square Mile: What Ancient Churches and Sublime Music Can Teach Modern Finance
Discover what the cultural renaissance in London’s historic churches can teach the world of finance about long-term value, innovation, and human capital.