Markets ease on hopes of de-escalation, but Hormuz disruption keeps global energy risks elevated
Donald Trump
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Oil chokepoint at center of U.S.–Iran standoff as markets brace for prolonged volatility
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MARKETSWorld Markets
Europe Stocks Surge on Trump’s Iran Exit Signal
by Daphne Dougnby Daphne DougnMarkets rally as geopolitical risk eases, oil softens, and global investors reposition for recovery
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Rift over Iran war and Hormuz crisis raises fears of a historic break in Western defense unity
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U.S. may withdraw within weeks without a deal, raising stakes for oil, geopolitics, and investor sentiment
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Kospi jumps over 6% as Trump signals exit; oil steadies and global risk appetite rebounds
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MARKETSWorld Markets
Dow Surges 600 Points on Hopes of Iran War De-escalation
by Dean Dougnby Dean DougnMarkets rebound as Trump signals openness to ending conflict, but oil shock keeps global risk elevated
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US urges allies to “take” oil routes as Iran tensions reshape global supply risks
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Markets rally on peace hopes, but oil spike and policy risks cloud outlook
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Escalation risk rises as U.S. links diplomacy to control of the Strait of Hormuz