While other research and advisory firms (and the investors who depended on them) have been caught surprised, Georgetown Capital Research has been consistently forecasting the dramatic shifts currently taking place in geopolitics and financial markets.
Our unique approach is based on a a keen appreciation of cyclical economic and financial dynamics. We apply cyclical frameworks to understand trends in geopolitics and finance, helping investors consider not just current political and economic risks but how risks affecting their investments are likely to evolve within cyclical patterns.
Georgetown Capital Research exists to help clients precisely identify asymmetric opportunities and risks within this cyclical shift.
As forecast per our previously published reports and the GCR framework, the financial expansion and global integration that has characterized recent decades has recently shifted markedly. This cyclical evolution entails not only significant economic but also financial and political risks – yet it also offers excellent opportunities for innovative investors.