Geopolitics9 June 2026
100 days of Iran war: stocks resilient but oil, bonds signal recession risk
via CNBC
CNBC analysis shows equity markets have absorbed 100 days of Iran conflict with limited damage, but oil volatility and bond-market signals point to stagflation or recession risk. Traders should position for prolonged crude supply uncertainty and watch fixed-income for Fed pivot signals if growth data deteriorates.
Original source
CNBC
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