Iran Conflict: What Happened, and What It Means for Markets
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In this episode, we discuss the market impact of the war between the US, Israel, and Iran. We analyze how energy prices have climbed and why we've seen a surge in volatility and a downturn in global equity markets over the past week. We also explore the two key factors we're watching now: signs of a potential end to the conflict and the risk of expansion through regional proxies. Check out SightLines to unpack the week’s events and our views looking forward.
To read this week's Sight|Lines, click here.
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