From Local to Global: Why Cross-Border Listings Are Gaining Traction
June 3rd, 2025
In recent years, a growing number of companies are turning to cross-border and dual listings as part of their capital markets strategy. While traditional home-market IPOs remain relevant, firms across sectors and geographies are increasingly seeking access to international capital pools, visibility, and valuation premiums by tapping into multiple exchanges. From NASDAQ to Euronext, from London to Dubai, the rationale behind these listings is evolving—driven by market volatility, geopolitical shifts, […]
Why the Stock Market Is So Volatile in Early 2025 – And Where to Look for Opportunities
March 11th, 2025
As we move through the opening months of 2025, institutional investors are navigating a landscape marked by heightened volatility and macroeconomic crosswinds. After a relatively stable close to 2024, global equity markets have entered the new year with increased dispersion, rapid factor rotations, and elevated short-term uncertainty. From Wall Street to European exchanges, market participants are contending with shifting inflation expectations, diverging central bank outlooks, and unresolved geopolitical tensions. While […]
U.S. Economy Outlook 2025: Modest Growth Amid Global Challenges
February 24th, 2025
The U.S. economy in 2025 is projected to experience modest growth, as it continues to recover from recent economic challenges while navigating ongoing global uncertainties. Several key factors will shape the economic landscape in the coming year, including the effects of inflation control measures, shifts in consumer behavior, and external risks such as geopolitical tensions and supply chain disruptions. Moderate Economic Growth The U.S. economy is expected to grow at […]