
SOTS 2nd Hour: Israel-Iran Conflict: Impact for Stocks, Bonds, Energy, and the Fed 6/13/25
Squawk on the Street
00:00
Geopolitical Tensions and Market Reactions
This chapter explores the escalating tensions between Israel and Iran and their significant implications for global markets, especially energy and treasuries. It discusses the U.S. administration's coordination with Israel, potential Iranian retaliation, and market responses, particularly to changing oil prices. Additionally, the chapter highlights investor sentiment towards safe havens like gold and Bitcoin amid uncertainties, alongside challenges in trade negotiations and the evolving landscape of U.S. Treasury bonds.
Transcript
Play full episode