Amid escalating Venezuela oil politics, Caracas accuses the US of economic aggression and turns to OPEC+ for stability. The move highlights growing energy security investing concerns and shifting OPEC+ dynamics in global markets.
Recent research reveals that 62% of leading AI models can be bypassed using poetic prompts, raising serious concerns for financial institutions relying on AI for compliance, fraud detection, and customer service. This article examines the risks and offers actionable mitigation strategies.
A deadly attack on a Yemeni official's motorcade kills five, triggering concerns over Yemen attack geopolitics and broader regional instability. The incident underscores growing Middle East conflict risk, potential oil price volatility, and implications for emerging market debt in fragile economies.
As U.S. pressures the EU to soften digital regulations in exchange for trade concessions, former EU digital chief Margrethe Vestager warns against weakening the Digital Markets Act. This pivotal moment could reshape tech investment flows across transatlantic markets.
As the holiday season approaches, investors weigh Bitcoin's seasonal rally potential against gold’s traditional safe-haven appeal. This analysis compares historical performance, macro drivers, and institutional trends to assess which asset may outperform in Q4.
A growing number of early Bitcoin adopters are selling their long-held BTC to gain exposure through regulated Bitcoin ETFs, leveraging significant crypto tax advantages. This strategic shift is reshaping market dynamics and offering new insights into tax-efficient wealth preservation.
Despite inflation nearing the ECB's target, European consumer debt remains a growing concern, with 25% of households delaying bill payments due to lasting financial strain and rising living costs across the region.
Europe is reasserting its role in Ukraine-Russia peace negotiations, wielding control over energy, reconstruction funding, and sanctions. This shift carries significant implications for bond yields, defense stocks, and Eastern European markets amid evolving geopolitical risk.
Estonian mobility giant Bolt deepens its autonomous ambitions with a strategic robotaxi partnership with Chinese leader Pony.ai, signaling a major step in Pony.ai Europe expansion and the global growth of mobility-as-a-service investing.
The recent mass protests in Marseille following a drug-related killing highlight deeper economic risks tied to urban social instability. This article analyzes the impact of organized crime on real estate, tourism, and investment in southern European cities, offering data-driven insights and strategies for resilient urban investing.
BHP has officially withdrawn its renewed offer for Anglo American, ending a closely watched attempt at a copper mega-merger. This decision underscores valuation gaps and governance complexities in mining sector M&A, with ripple effects across commodities investment outlook and consolidation strategies.