In a typical cycle, you get a shock. Markets absorb it. Lenders adjust. Regulators respond. Everyone recalibrates, and we move on. That sequential pattern has held for decades. The systems I'm [...]
Climate finance is steadily moving from the margins into the center of financial conversation, influencing how people think about banking, spending, investing, and institutional responsibility.
For decades, climate risk conditions were predictable enough that banks, insurers, and investors could model risk with relative confidence. But that foundation is beginning to shift.
Insurance companies are often the first institutions forced to price reality — long before banks or bond markets fully adjust. That repricing is already reshaping property values, lending [...]
For more than a decade, cheap capital masked structural fragility across the financial system. As rates reset and liquidity tightens, those weaknesses are beginning to surface.
The Storm is about understanding how markets behave when the assumptions they were built on begin to shift and how investors, institutions, and policymakers can position themselves as those [...]