Geopolitical Risk • Q1 2026
Central Asia Energy Corridor: Risk & Opportunity Assessment
An evaluation of political stability, regulatory frameworks, and infrastructure investment risks across Kazakhstan, Uzbekistan, and Turkmenistan—with scenario analysis for cross-border energy transit routes.
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Due Diligence • 2025
Beneficial Ownership Opacity in Gulf State Free Zones
A comparative review of corporate transparency regimes across UAE, Bahrain, and Qatar free zones, with case studies illustrating common concealment patterns and red flags for compliance teams.
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Supply Chain • 2025
Critical Minerals Supply Chain: Sanctions & Forced Labor Exposure
Mapping extraction-to-refining pathways for cobalt, lithium, and rare earths, with an overlay of sanctioned-entity involvement and forced-labor risk indicators at each node.
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Executive Briefing • Q4 2025
Sub-Saharan Africa: 2026 Election Cycle Risk Monitor
Country-by-country analysis of upcoming elections across 12 Sub-Saharan markets, assessing political transition risk, policy continuity, and potential impacts on foreign direct investment.
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Corporate Intelligence • 2025
Maritime Shipping Networks: Sanctions Evasion Typologies
Identification of common vessel-flagging, ownership-layering, and AIS-manipulation techniques used to circumvent trade sanctions, with practical screening recommendations.
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Regional Risk • 2026
Southeast Asia Semiconductor Ecosystem: Geopolitical Dependencies
Assessment of semiconductor assembly and testing concentration risks in Malaysia, Vietnam, and Thailand, with analysis of US–China decoupling scenarios and alternative sourcing pathways.
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