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The Next Decade in Markets Will Be Decided by a Barrel of Oil
Markets may be entering a decade defined by energy, not technology. This article breaks down how oil, geopolitics, and a shifting monetary order are creating a new landscape for investors, with insight from strategist Simon Hunt.

Going Cold Turkey: Why North America Needs Its Own Rare Earth Supply
China still dominates the rare earths that power EVs, wind turbines, smartphones and modern weapons, leaving North America dangerously exposed. This article breaks down how dependent the U.S. and Canada are on Chinese REEs today, what Washington and Ottawa are actually doing about it, and where the biggest opportunities lie for investors as a new mine-to-magnet supply chain is built on our own turf.

The Japanese Bond Time Bomb: How a JGB Shock Could Hit North American Stocks
Japan, the original architect of zero rates and QE, is suddenly being forced to live in a world of real interest costs, and its ¥1,300+ trillion debt pile is creaking as the 10-year JGB approaches 2%. This post explores how a spike in Japanese bond yields could morph from a “local” issue into a global shock, triggering carry-trade unwinds, repatriation flows, and a painful repricing of North American equities.

Budget 2025: Canada Bets Big on Mining, Productivity, and National Strength
Budget 2025 marks Canada’s boldest resource strategy in decades. With billions in new funding for critical minerals, infrastructure, and productivity, Ottawa is betting on mining and industrial investment to drive long-term growth. Expanded tax credits, a sovereign fund for critical minerals, and the removal of key regulatory barriers signal a decisive pivot toward real assets, national competitiveness, and economic resilience.

The Longest Shutdown Meets All Time Highs: What History Says, What Is Different Now
Global markets have surged to record highs even as Washington endures the longest shutdown in U.S. history. Past standoffs caused little market damage, but this one comes amid record debt and trillion-dollar deficits. Gold is suggesting investors are quietly hedging against the illusion of stability.
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