Iran War Global Markets triggered a $100+ oil shock, fueling stagflation fears and delaying U.S. rate cuts. Banking sector faces mixed impact: stronger margins but rising credit risks in emerging markets. Stock markets show resilience despite volatility, driven by AI-led earnings optimism. Fintech and trade finance see disruption as shipping risks and insurance costs surge. … Continue reading Iran War Shock Tests Global Finance: Banks, Markets, and Fintech Navigate Oil Spike and Liquidity Divide
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