
Israel Attacks Iran: Global Stocks Slide, Oil Prices Spike, Defense Sector Surges 6/13/25
Squawk on the Street
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Market Responses to Geopolitical Tensions
This chapter explores the financial market's reaction to escalating tensions between Israel and Iran, particularly focusing on the impact on energy and consumer discretionary stocks. It discusses significant movements in various sectors, including strong performances in defense stocks and notable IPOs, while considering the broader implications of tariffs and geopolitical events on market stability. Additionally, the chapter examines the economic outlook, inflation concerns, and how companies are adapting to shifting market conditions.
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