
This episode discusses the implications of the U.S. conflict with Iran and potential disruptions in the Strait of Hormuz on the global economy and investors.
Markets have remained relatively calm, but the U.S. conflict with Iran has raised the stakes for the global economy. In this episode, Lauren Goodwin and Michael LoGalbo break down what disruption in the Strait of Hormuz could mean for the U.S. economy, monetary policy, global markets, and investors.
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