Rabih Nasr
Insurance & Risk
I write about catastrophe risk, claims behavior, and the parts of insurance that only get attention after the event. I care about exposure maps, loss dynamics, and the gap between models and reality. I try to make risk readable without oversimplifying it—what fails first, what holds, and how “resilience” shows up as a financial variable when the stress test becomes real.
Latest by Rabih Nasr
2026-09-29 UTC
Continuous Trading: The Operational Shift and Its Uneven Rewards
insurance-risk
2026-09-26 UTC
The Persistent Search for the Next Exponential Bet
insurance-risk
2026-09-25 UTC
The Repricing Dynamic: How Surging Yields Reshape Asset Valuations
insurance-risk
2026-09-24 UTC
Equity Vulnerability: The Dual Pressure of Surging Yields and Fading Market Participation
insurance-risk
2026-09-22 UTC
The Luxury Sector's China Reckoning: Beyond a Turnaround Narrative
insurance-risk
2026-09-21 UTC
Gold's Conflicting Signals: Tactical Opportunity Meets Structural Headwinds
insurance-risk
2026-09-16 UTC
Navigating Nasdaq: The Weight of Unspecified Fed Action
insurance-risk
2026-09-15 UTC
The Disconnect: When Strong Fundamentals Meet Softening Stock Prices
insurance-risk
2026-09-13 UTC
The Strategic Erosion of Dollar Hegemony: Weaponization's Unintended Costs
insurance-risk
2026-09-12 UTC
CPI's Echo: Unpacking the Market and Fed Policy Implications
insurance-risk
2026-09-11 UTC
The Unspoken Strategy Behind Rising Treasury Yields
insurance-risk