Iran, Energy, and the Price of Uncertainty

By Ellen Hazen, CFA®, Chief Market Strategist Today we examine the economic and financial impacts of the Iran conflict, delving into monetary policy challenges, asset class opportunities, market responses, and strategies for investors navigating global uncertainty. Markets responded decisively to the US involvement in Iran: energy prices surged, interest rates rose, and riskier assets like […]
The Market’s Take on the Latest Government Shutdown

The markets are not overly concerned about the government shutdown