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Financial Services Bill - Brought from the Commons on 14th January 2021



How would the reopening of Hormuz reshape markets?
Geopolitical risk in the Strait of Hormuz remains one of the most powerful variables shaping global markets — and this latest analysis shows why investors are watching every development closely. In recent weeks, we secured a number of high‑profile media placements for Javier de Berenguer based on his commentary regarding tensions in the Strait of Hormuz and their potential impact on global financial markets. His insights resonate strongly with the themes explored in this In
May 29


“Blue-collar America is back”— Mapfre fund selector backs industrials amid Trump tariffs
Amid Trump’s tariff shake-up, Javier de Berenguer, investment manager and fund selector at Mapfre Gestión Patrimonial, the Spanish...
Apr 11, 2025


US Strength Dissipates Hopes for Lower Rates
The GDP data coming out of the United States has proven to be considerably stronger than analysts expected, with the Q4 2023 number...
Feb 21, 2024
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