#USIranTensionsImpactMarkets Global Macro Repricing – Strategic View
The US–Iran escalation is becoming a global macro catalyst. When geopolitical risk rises, markets reprice three things immediately: energy supply, inflation expectations, and liquidity risk.
🌍 What could trigger a structural shift?
Confirmed long-term disruption in the Strait of Hormuz
Oil sustaining above major breakout levels
Coordinated military escalation involving multiple countries
📊 Cross-Asset Strategic Outlook:
🛢 Oil: Strong bullish bias if supply risk persists.
🥇 Gold: Defensive allocation likely to increase ste