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Econographics

May 15, 2023

The US debt ceiling stalemate threatens money market funds—and financial stability

By Hung Tran

Money markets would be the first to react to a debt ceiling breach, heightening market turmoil at the wrong time and helping to raise the odds of a severe recession.

Economy & Business
Financial Regulation

Econographics

May 10, 2023

What is the G7 still exporting to Russia? 

By Niels Graham

One year into the Russia’s invasion G7 nations continue to export nearly $5B a month to Moscow. A new proposal by the US at the G7 could greatly reduce this.

Economy & Business
European Union

Econographics

May 8, 2023

Japan’s monetary trilemma is a warning to the world

By Mark Siegel

High inflation, high levels of debt, and uncertain financial stability – Washington, London, Brussels, Frankfurt and beyond have much to learn from Tokyo’s experience.

Economy & Business
Financial Regulation

Econographics

May 1, 2023

Russia Sanctions Database: May 2023

Explore featured insight part of the May 2023 edition of Atlantic Council’s Russia Sanctions Database.

Russia
Ukraine

Econographics

Apr 27, 2023

The root causes of geopolitical fragmentation

By Hung Tran

Geoeconomic fragmentation is on the rise. Policymakers need to address the root causes: inequality left in the wake of globalization, and the crisis of trust between major countries.

Americas
China

Econographics

Apr 26, 2023

Why emerging markets are stocking up on gold

By Phillip Meng

Financial stability concerns, sanctions, and inflation contributed to the largest net purchases of gold in over seventy years last year—raising questions about its potential role in de-dollarization.

Africa
Americas

Econographics

Apr 24, 2023

Practice makes perfect: What China wants from its digital currency in 2023

By Ananya Kumar

The e-CNY network has expanded over the last year, and China’s goals have only become clearer. Domestically, the People’s Bank of China is still in test-and-learn mode, globally, China is more focused on setting defining international standards.

China
Cybersecurity

Econographics

Apr 20, 2023

The US is relying more on China for pharmaceuticals—and vice versa 

By Niels Graham

US China trade of pharmaceutical and active pharmaceutical ingredient (API) is rapidly increasing. Supply chain mapping will be key to risk management

China
Economy & Business

Econographics

Apr 18, 2023

US trade agreements: Out with old and in the with new?

By Sahra English

As the United States moves ahead with a new approach to trade with the Indo-Pacific Economic Framework for Prosperity (IPEF), should it really abandon the old model of trade agreements? Or should it consider adapting the new approach to the old model?

Economy & Business
Indo-Pacific

Econographics

Mar 30, 2023

Chinese banking’s SVB resilience 

By Niels Graham, Josh Lipsky

Silicon Valley Bank’s collapse has rippled across evert major banking hub except for China’s. This is because of China’s unique banking structure which emphases heavy state oversight and control while minimizing cross border connections with advanced economies

China
Economy & Business

Content

Econographics

Jan 28, 2026

China’s property slump deepens—and threatens more than the housing sector

By Jeremy Mark

China's property sector slump is in its fifth year, with no end in sight. This poses real risks to the banking system and the country's financial stability.

China
Economy & Business

Econographics

Jan 26, 2026

Africa enters 2026 facing a debt crisis. The answer lies in regional solutions.

By Juliet Lancey

The solution to debt crises in African nations lies in global and regional cooperation.

Africa
Financial Regulation

Econographics

Jan 22, 2026

When will Wall Street’s tolerance for uncertainty run out?

By Jessie Yin, Josh Lipsky

In a decade of geoeconomic shocks, few events have truly shaken investor confidence. But Wall Street may be too complacent to political volatility.

Economy & Business
Macroeconomics

Econographics

Jan 22, 2026

As markets turn volatile, leverage is back in the spotlight

By Hung Tran

Market turmoil has returned, highlighting how rising leverage plays a part in making the global financial system more fragile and vulnerable to shocks.

Economy & Business
Financial Regulation

Econographics

Jan 15, 2026

What to watch as China prepares its digital yuan for prime time

By Alisha Chhangani

The changes China is implementing around the e-CNY signal a more mature phase for the digital yuan—and an overall shift toward a much broader geopolitical ambition.

China
Digital Currencies

EconoGraphics

Jan 12, 2026

Rare earth mining could solve, not worsen, Central Asia’s water troubles

By Andrew D’Anieri

States in the region can capture a net “water dividend” by reinvesting mining revenues in water-saving infrastructure and technologies.

Central Asia
Critical Minerals

Econographics

Nov 25, 2025

Why the Millennium Challenge Corporation is vital to the future of US competitiveness

By Sohan Dasgupta

The United States is leveraging its unmatched economic power to reshape global partnerships, secure critical resources, and counter adversaries. Through a retooled Millennium Challenge Corporation, Washington is forging strategic alliances, strengthening supply chains, and opening billion-person markets for American companies.

Economy & Business
United States and Canada

Econographics

Nov 25, 2025

On critical minerals, the US needs more than just supply. It needs refining power.

By Bart Piasecki

Expanding global processing capacity remains a crucial—and currently missing—step in strengthening US supply-chain control and export competitiveness.

Critical Minerals
Economy & Business

Econographics

Nov 13, 2025

How the US can balance Qatar’s mediation role with the fight against terrorist financing

By Lesley Chavkin

Qatar has achieved an outsized role on the global stage, but the spotlight has come with persistent scrutiny of the tiny Gulf country’s efforts to counter the financing of terrorism.

Economy & Business
Financial Crimes & Illicit Trade

Econographics

Nov 12, 2025

Yes, tech stocks have taken a hit. But the real danger lies elsewhere.

By Hung Tran

Tech stocks’ sharp selloff has grabbed headlines, but the real risk may be in tightening US dollar funding. As the Fed drains liquidity and repo rates surge above policy benchmarks, hedge funds and foreign banks—holding trillions in dollar assets—face rising pressure. The danger isn’t just market volatility, but whether global finance can withstand a squeeze in the world’s core funding system.

Economy & Business