To navigate the storms of interest rate variability, we need foresight and flexibility.
Category: United States
Do Better ESG Ratings Boost Bond Holders?
Does the bond market view companies with better ESG ratings as better credit risks?
“Build, Partner and Buy”: AI and the New M&A Model
Amid the current artificial intelligence (AI) hype cycle, the M&A playbook has changed.
Myron Scholes on Black–Scholes, Decarbonization, AI, and Parenting
“If life were unchanging, then options would not be as valuable, but life is always changing, which makes options and the ability to deal with uncertainties very precious.” — Myron Scholes
The Trouble with Forecasting Home Prices
Mortgage rates have doubled and tripled in some countries since 2021. So why aren’t residential real estate markets more distressed?
Crypto’s Unanswered Question: At What Price?
How do you make buy and sell decisions with cryptoassets? The answer remains elusive.
Climate Change, Risk Management, and the Freedom to Invest Responsibly
The freedom to invest responsibly and the principle of risk management must be defended, and that requires us to go back to basics.
Crypto Rising? Beyond High Beta Equity and FTX
Expect increased crypto adoption in 2024.
Quit to Win? Six Reasons Why Winners Quit
Sometimes quitting is the right thing to do, whether it is leaving a city, a relationship, or, yes, even a career.
The First US Real Estate Bubble and Three Lessons from the Mount Tambora Eruption
How can the 1815 eruption of Mount Tambora inform investors today?