This year marks the 20th anniversary of the Principles for Responsible Investment (PRI), launched with United Nations backing ...
Discover how biased expectations theory impacts interest rates by incorporating investor preferences and risks, beyond just ...
Causality also runs both ways. Geopolitical risk causes financial stress, but severe financial stress can destabilise regimes and provoke conflict. Finally, as markets become aware of these signals, ...
In MENA, openness does not automatically calm the storm. It determines how violently shocks are transmitted—and to whom. Until trade and financial integration are aligned with institutional strength, ...
Nigeria's new capital gains tax is testing investor confidence, raising concerns about market growth, foreign investment, and ...
A new Vanguard study reveals that the 100 professions rubbing shoulders with AI the most are thriving, but admits there will ...
Market-making firms in the $13 trillion exchange-traded fund industry may come under strain amid a potential wave of new listings in 2026, with US regulators poised to allow asset managers to offer ...
Journal Editorial Report: Paul Gigot interviews former U.S. Senator Pat Toomey. America marks its 250th anniversary next year. Our founders understood that markets can unleash a nation’s dynamism as ...
Global liquidity is drying up and this has bearish implications for stocks. CrossBorder Capital strategist thinks a sustained downturn is beginning and that gold and commodities are the best way to ...
Partners at Slaughter and May, HSF Kramer, Freshfields, Fried Frank, and White & Case share their views on whether U.K.'s capital markets are bouncing back—and what challenges lie ahead. After years ...