#USIranMarketImpact

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Energy (Oil & Gas)

Risk of disruption in the Strait of Hormuz → oil prices tend to rise

Oil surge = global inflation pressure

Energy stocks & related commodities have the potential to outperform

Bias: Bullish Oil, Gas, Energy Stocks

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Safe Haven

Gold (XAU) & Silver (XAG) benefit from escalation of conflict

Institutional investors are hedging geopolitical risks

Bias: Bullish XAU / XAG as tensions continue

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US Dollar (USD)

Short-term: USD strengthens as a safe haven

Medium-term: depends on The Fed's response & energy inflation

Bias: Bullish USD (short-term)

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Crypto Market

Initial reaction: selling pressure (risk-off)

BTC often drops initially → rebounds if global liquidity enters

Altcoins are more vulnerable to sharp corrections

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Global Stocks

Major indices (US, Asia, Europe) tend to correct

Defensive sectors are more resilient (energy, defense, utilities)

Bias: Bearish indices, selective sectors

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