War Spills Into Week 3: How the US-Israel-Iran Conflict Is Crushing Markets and Sending Oil Skyrocketing
Money Wolf by Russell Fletcher
Episode notes
In this episode, I rant about the US-Israel war with Iran dragging into its third week—no end in sight. The Strait of Hormuz remains choked, oil prices are volatile above $100 (with spikes near $120), global supply disruptions hit historic levels, inflation fears are mounting, and equities are swinging wildly with defensive rotations and weekly losses. From Trump's "ahead of schedule" claims to fresh strikes and retaliatory hits, here's how the chaos is rippling through Wall Street, energy stocks, bonds, and the broader economy. Essential listen for anyone tracking geopolitical risk in the markets.
Keywords
financeinvestingStocksEconomyMoneyWolfmoneyIranIsrealwaroil