THE investment world heads into 2026 staring at a growth model that looks nothing like the last decade, with capital intensity, leverage and politics back at the centre of returns.
Markets are no longer drifting on low rates and globalisation, but being pulled by a handful of powerful forces that reward big, deliberate calls.
Already a subscriber? Log in
Save 30% OFF The Star Digital Access
Cancel anytime. Ad-free. Unlimited access with perks.
