Vancast
Vantcast — The World Edition
The weekly macro briefing for senior leaders with global exposure — translating geopolitics, trade, and economic shifts into the questions your organisation should be stress-testing right now. Vantcast World covers the forces reshaping how businesses operate across borders: energy markets and supply chain fragmentation, central bank decisions and currency dynamics, trade policy and regulatory divergence, and the geopolitical developments that move commodity prices, capital flows, and competitive positioning. Each edition connects the macro signal to the strategic question — what does this mean...
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Episodes
W27 - 4 Jul 2026 - Sanctions, Defence, and the AI Regulation Playbook 05.07.2026 17:59
This week's strategic landscape is being redrawn by escalating Iran sanctions reshaping oil markets, European defence capabilities facing hard realities, and the Fed signalling a pivot on inflation that should reshape your planning assumptions. We also decode the emerging AI regulation framework—the patterns every executive needs to understand before their next technology investment.
W26 - 28 Jun 2026 - Fault Lines: How Geopolitics Rewires Trade and Supply Chain 28.06.2026 16:27
This week examines the structural shifts reshaping global commerce—from competing trade blocs and energy realignment to the compliance burden sustainability is placing on financial institutions. You'll understand which strategic assumptions about markets, supply chains, and regulatory environments are no longer reliable.
W25 - 21 Jun 2026 - When Straits Close and Markets Split 21.06.2026 20:06
This week, escalating tensions at the Strait of Hormuz collide with broader central bank uncertainty, creating a complex risk environment for global business strategy. We break down the geopolitical flashpoint, energy market implications, and the policy bind that's shaping boardroom decisions right now.
W24 - 14 Jun 2026 - Hormuz, G7, and the China Trade Playbook 14.06.2026 21:01
This week's external environment is reshaping at speed: Trump's Strait of Hormuz move, the G7's real agenda in France, and China's strategic shift in deploying its trade surplus. We break down what each means for your competitive position and supply chain assumptions.
W23 - 6 Jun 2026 - Energy Chokepoints and the Fracturing of Global Trade 07.06.2026 20:49
The Strait of Hormuz crisis is forcing executives to rethink energy security and supply chain resilience across continents. We examine how geopolitical fragmentation—beyond tariffs—is reshaping the financial and physical infrastructure that underpins commodity markets and strategic planning.
W22 - 1 Jun 2026 - The Great Repricing: Bonds, Tariffs, and European Security 31.05.2026 11:55
Global bond markets are in retreat while the EU mirrors American protectionism and European security guarantees face existential questions. This week, we examine three simultaneous shifts reshaping capital, trade policy, and geopolitical strategy.
W21 - 25 May 2026 - Chokepoint Economics: The New Operating Environment 24.05.2026 19:59
Explore how critical geographic bottlenecks are reshaping energy costs, supply chains, and geopolitical risk—moving from peripheral concern to core business assumption. This briefing maps the structural forces redefining resource access and regional stability for the decade ahead.
W20 - 18 May 2026 - Energy Shock: How Iran's War Reshapes Your Business 17.05.2026 23:31
This week - We analyze the Iran conflict's cascading impact on energy markets, inflation expectations, and supply chain resilience—the forces reshaping your strategic decisions right now. Understand what's pricing into bonds and energy, and what that signals for your planning horizon
W19 - 10 May 2026 - When Three Crises Converge: Hormuz, Liquidity, and Germany 10.05.2026 18:32
We examine three interconnected pressures reshaping the global operating environment: maritime chokepoint volatility in the Strait of Hormuz, tightening dollar liquidity cycles, and structural instability in Europe's largest economy. Understanding how these forces interact is essential for anticipating supply chain disruption, capital markets stress, and policy responses that will affect your busi...
W18 - 4 May 2026 - Taiwan, the Dollar, and the Hormuz Question 03.05.2026 14:04
This week we cover the Taiwan semiconductor exposure most boards haven't mapped, the IMF data behind the de-dollarisation story, India's structural currency weakness beyond the Iran war, and why the Hormuz toll proposal is more contested than it looks.
W17 · 25 April 2026 — Hormuz, The Renminbi Shift & What Industrial Policy Actually Means 25.04.2026 22:00
This week: Daniel Yergin on why the Strait of Hormuz crisis signals a genuinely different world — and what that means for boards beyond the energy market. The quiet but accelerating infrastructure behind renminbi internationalisation, and why it matters even if you're not in China-adjacent trade. And what the World Bank's new position on industrial policy actually means for executives betting on g...
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