
Photo by Nicholas Cappello on Unsplash
Global markets are grappling with intense risk-off sentiment driven by escalating U.S.-Israel-Iran conflict, which has disrupted the Strait of Hormuz, spiked oil prices sharply, boosted safe-havens like gold and the dollar, pressured equities lower, and heightened inflation concerns, all while mixed economic signals from China, Japan, and upcoming US and Eurozone data add layers of uncertainty.
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