Geopolitics13 May 2026
Oil and stock markets flash conflicting signals in April as Iran war escalates
via The New York Times
April saw divergence between crude prices—which spiked on supply fears—and equities, which held up despite geopolitical chaos. Israel's strikes on Iranian facilities and retaliatory attacks on Qatar's Ras Laffan energy hub sent shockwaves through energy markets. Traders navigating commodity-equity correlation breakdown face elevated hedging costs.
Original source
The New York Times
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