US foreign policy
Trump’s Venezuelan Oil Gambit: A High-Stakes Bet on Energy, Economics, and Geopolitics
Trump’s audacious claim to Venezuelan oil wealth sparks debate on the future of energy, geopolitics, and high-risk international investing.
The New Cold War is Frozen: Why a US Envoy to Greenland is a Major Signal for Global Investors
A minor US envoy appointment to Greenland signals a major geopolitical shift, with huge implications for the global economy, investing, and resource security.
Geopolitical Tremors: Decoding the Economic Fallout of US Military Strikes in Nigeria
A single military event has far-reaching economic and financial consequences. We explore the impact on investing, fintech, and the global economy.
Beyond the Headlines: The Economic Shockwaves of Military Action in Syria
A single military strike can trigger vast economic shockwaves. Discover how geopolitical events impact the stock market, economy, and your investment strategy.
The New Financial Battlefield: How US Sanctions are Reshaping Venezuela’s Economy and Global Markets
Washington’s shift from drug busts to economic sanctions against Venezuela signals a new era in financial warfare. What does this mean for investors?
Europe’s High-Stakes Gambit: Fortifying Ukraine’s Future Amidst Shifting Global Tides
European leaders meet in London to fortify support for Ukraine, signaling a commitment to financial stability and long-term investment amid global uncertainty.
Beyond the Handshake: Decoding the Trump-Brokered Peace Deal and Its Billion-Dollar Mineral Prize
A historic peace deal between Rwanda and DRC, brokered by Trump, trades mineral access for an end to 30 years of conflict, reshaping global markets.
The $45 Billion Question: Trump’s Pardon of a Narco-President and the Financial Shockwave Headed for Central America
Trump’s pardon of a narco-president sends shockwaves through global finance, raising alarms for investors about political risk in emerging markets.
Peace Plan or Political Ploy? Unpacking the Market Tremors from the Ukraine Policy Reversal
A contentious Ukraine peace plan was floated and then denied, revealing deep policy uncertainty. This analysis explores the impact on the economy and markets.
Geopolitical Tremors: Rubio’s Ukraine Comments and the Market’s Unpriced Risk
A US official’s clarification on a Ukraine peace plan highlights the profound geopolitical risk that investors and the global economy have yet to price in.
The Art of the Geopolitical Deal: Analyzing Trump’s Impact on Global Finance and the Economy
A look at how Trump’s transactional diplomacy, treating foreign policy like a business deal, is reshaping global markets, trade, and investment strategies.
Carrots, Sticks, and Crude Oil: Decoding the High-Stakes Economic Chess Match in Venezuela
The US is employing a “carrot and stick” approach to Venezuela, mixing military pressure with diplomatic talks. This has huge implications for the economy.