Global markets continue to react to rising US-Iran tensions, with investors closely watching the impact on oil prices, inflation, and overall market stability. European and US stock markets showed mixed performance as geopolitical uncertainty keeps risk sentiment fragile.
At the same time, energy markets remain in focus as disruptions around the Strait of Hormuz , a key global oil route, continue to influence investor expectations and volatility across financial markets.
At the same time, energy markets remain in focus as disruptions around the Strait of Hormuz , a key global oil route, continue to influence investor expectations and volatility across financial markets.

