Market Risks from Israel-Iran Tensions and Investor Strategies

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Source: MarketWatch
Market Risks from Israel-Iran Tensions and Investor Strategies
Photo: MarketWatch
TL;DR Summary

The Israel-Iran conflict poses three major risks to the stock market: potential contraction of P/E multiples due to increased geopolitical uncertainty, damage to investor and consumer sentiment, and rising oil prices that could complicate inflation forecasts and lead to lower P/E ratios, potentially causing the S&P 500 to decline to 4,800-5,200 by the end of 2025.

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