Section
Economy & Markets
Deep dives, historical context, and data-driven breakdowns exploring the forces driving this field.
September 5
September 4
Why Global Trade Defies Protectionism Despite New Tariff Barriers
September 3
How Reciprocal Deposit Networks Stabilize Liquidity for Mid-Sized Banks
September 2
Competing Summits: How China and the U.S. Are Testing Their Economic Models
September 1
Navigating the Philippines' Economic Landscape: Balancing Cyclical Pressures and Structural Reform
Andrew Bailey Urges G20 to Address AI-Driven Cyber Threats to Global Finance
August 31
Redefining Clean Energy Investment: Grid Resilience and the New Global Map
August 29
How Central Bank Policies and Gold Reserves Are Redefining Global Economic Stability
How Exploding Federal Debt Has Hijacked Monetary Policy
August 27
Why Beijing Is Withholding Fiscal Stimulus Despite Having Abundant Funds
Why US Fiscal Policy Has Reached a Structural Breaking Point
August 25
Why AI Has Become a Core Variable in Global Macroeconomic Forecasting
August 24
The UN Counter-Terrorism Strategy Crisis: Why Two Decades of Consensus Collapsed
Rewiring Global Finance: How Blockchain Infrastructure Could Stabilize the World Economy
August 21
Surpassing $40 Trillion: Assessing the Global Impact of U.S. Sovereign Debt
Structural Shifts and Regulatory Hurdles in China-Europe Trade Relations
Kazakhstan’s Parliamentary Elections and the New Era of Geopolitical Risk
How the U.S. Withdrawal from Global Leadership is Undermining European Economic Stability
August 20
How Geopolitical Conflict Is Rewriting the Global Aviation Economy
China’s Economic Transition: Balancing High-Tech Growth with Structural Hurdles
August 18
Global Economic Divergence: Analyzing US Inflation Trends and UK Growth
August 17
Why Global Trade Is Vulnerable to 27 Critical Maritime Chokepoints
August 16
Why Elevated Interest Rates Are Reshaping Personal Finance for the Long Term
Can Trade Policy Actually Force Meaningful Climate Action?
August 15
How China’s Industrial Overcapacity Is Reshaping Global Markets
Assessing the EU's 2025 Strategy for Global Human Rights and Democratic Resilience
August 14
India’s Strategic Pivot: Redefining Trade Diplomacy for Global Influence
August 13
Advancing India-Sri Lanka Economic Ties Through Open Sub-Regionalism
Managing Fiscal Volatility in Commodity-Dependent Economies
August 12
Why Inflation and Fed Policy Now Outweigh Geopolitics in Gold Pricing
August 11
Trade Wars Explained: How Tariffs Reshape Global Supply Chains and Markets
August 10
Europe's Drought Crisis: How Water Scarcity Is Breaking the Continent's Energy Grid
Monetary Policy Shifts Back to the Forefront After Market Rally
August 9
India’s Energy Infrastructure: Building Resilience Against Global Supply Shocks
How the Strait of Hormuz Crisis Is Reshaping Global Commodity Supply Chains
August 7
How Geopolitical Tensions Are Forcing a Global Supply Chain Overhaul
August 6
Why Developing Nations Might Benefit More From AI Than Advanced Economies
August 5
Why Global Central Banks Are Choosing Caution Over Immediate Rate Action
August 3
Navigating Market Volatility Through a Structured 12-Indicator Framework
How the Federal Reserve Is Changing Its Monetary Policy Strategy
August 2
Global Commodity Conclave 2026 to Shape the Future of commodity Markets
July 31
Global Markets Face a Dual Crisis of Geopolitical Volatility and Monetary Policy
China Shifts to Proactive Fiscal Strategy to Revive Economic Growth in H2
July 30
How Trump’s Section 301 Tariffs and Energy Sanctions Are Rewiring Global Trade
Fed Policy Stalls as Internal Dissent Reveals Deepening Inflation Divide
July 29
Why Global Digitalization Is a Structural Shift Independent of the AI Cycle
July 23
ECB Interest Rate Decision: Why Policymakers Are Choosing Stability in July 2026
July 19
Kevin Warsh Signals Fed Resolve Amid New Geopolitical Energy Pressures
July 15
Challenges of Geopolitical Risks in Global Supply Chains
July 14
Russia, China and the Rise of a Multipolar World Order
July 11
Still fit for purpose? Upgrading our economic models for an age of uncertainty
July 3
The green transition – benefits and barriers
July 2
Beyond energy prices: the ripple effects of Gulf supply disruptions
July 1
ECB Reports on Progress Towards Euro Adoption
June 30
Drone warfare is reshaping defense spending and battlefield strategy
June 25
Economy & Markets
Compare Treasury Yields Before Buying Foreign Debt
The 10-year U.S. Treasury note yields roughly 4.3 percent as of mid-2024. Brazilian government bonds maturing over the same horizon offer north of 11 percent.
Xavier Pennington·13 min read