Election 2024 Edition #3: Climate Change

16 October 2024 In my last two blogs, I have focused on key issues to which the two Presidential candidates have paid insufficient attention: the bloated government budget deficit and surging public sector debt, as well as international trade policy and rising US foreign indebtedness. In both cases, I gave the narrow edge to Vice [...]

European Markets: Intact or In Tatters?

12 May 2022 In my 2022 Strategy blog entitled "Avoiding Stagflation?" (published 1 December 2021), I suggested global financial market volatility was poised to rise, and equity and bond returns would be negative. On a relative basis, however, I made the case for an outperformance of European markets. Much has happened during the past six [...]

Ukraine: Global Implications

1 March 2022 The military situation on the ground following Russia's unprovoked invasion of Ukraine remains fluid, and many outcomes are still feasible (including a few catastophic scenarios). In order to begin assessing the economic fallout of the invasion, I must make some assumptions. Even now, what seems apparent is Russian President Putin has made [...]

Asia: Urgent Climate Action to Prevent Inequality

2 May 2021 Asia has a vital role to play in mitigating the global risks of climate change. Indeed, the region accounts for over 50% of world-wide CO2 emissions (and 44% of energy consumption). Of course, China and India are the world's #1 and #3 GHG emitters. These two giants are responsible for 70% of [...]