Polls: Where the government is winning, which findings sound the alarm β The turnaround with the new parties
The Greek government closely monitors polling data, focusing on both quantitative and qualitative aspects as Prime Minister Kyriakos Mitsotakis hints at elections in 2027.
Africa: Climate Change Could Expose 1.1 Billion People to Hunger By 2100 (But There's Good News Too) - AI Modelling Study
A study predicts that climate change could expose over a billion people to hunger by 2100, although it also suggests possible mitigative strategies.
Consequences of the Fed's Quantitative Easing
The article discusses the extraordinary measures taken by the Federal Reserve during the Great Financial Crisis, including reducing the benchmark interest rate to zero and implementing quantitative easing (QE).
Model Strategies: These Stocks are Included in the New F.A.Z. Trend Following Portfolio
The AI-supported quantitative trend-following portfolio is launching an improved version for February, focusing on market regimes and reflecting significant changes since the year's start.
Model Strategies: These Stocks Make It into the New F.A.Z. Trend Following Portfolio
The improved version of the AI-driven quantitative trend-following portfolio begins in February, focusing on market regimes and adapting to changes from the new year.
Increase in revenues and expansion outside Europe: who is betting on French cinema?
The year 2025 marked a significant quantitative and qualitative transformation for French cinema, positioning it to potentially reclaim its leadership in the global film industry with a notable increase in viewership and revenue.
DeepSeek founderβs High-Flyer ranks among Chinaβs top hedge-fund firms in 2025
High-Flyer, founded by DeepSeek, ranked second among China's top hedge-fund firms in 2025, closely trailing Lingjun Investment.
Expensive money in the era of aging economies: new normal or episode?
The article discusses the impact of prolonged low interest rates and quantitative easing on global capital flows and economic stability post-2008 financial crisis, particularly in the context of inflation and deflation risks.