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US-Iran conflict: which parts of the stock market are most at risk?
๐Ÿ“ˆ Business

US-Iran conflict: which parts of the stock market are most at risk?

The latest escalation in US-Iran hostilities has investors and economists assessing potential fallout for financial markets and the broader economy. Analysts are focusing on sectors most exposed to the conflict, including energy and defence. Geopolitical uncertainty could drive oil price swings and rattle market sentiment.

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