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S&P 500 at 6,000: Hold or Fold as Iran Risk and Fed Hawkishness Collide?

Summary by Investing.com
Market Analysis by covering: US Dollar Index Futures, Brent Oil Futures, S&P 500 Futures, Crude Oil WTI Futures. Read 's Market Analysis on Investing.com

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The effects on the financial markets are beginning to be noticed due to growing geopolitical tensions between the US, Israel and Iran. According to the original report, speculations about the potential direct intervention of the US in the conflict influenced the fall of future shares.S&P 500 contracts backed back by 0.8% while US stock and Treasury bond transactions remain closed by a public holiday.Global impact on markets and commoditiesEurope…

Wall Street faces a critical day with the Federal Reserve rate decision. Although no immediate changes are expected, investors fear that Jerome Powell will maintain an aggressive tone that will slow down expectations of cuts in September, which could trigger a correction in the S&P 500, currently less than 3% of its historic record. On the international level, Iran warned that it will not surrender to Israel and threatened “irreparable damage” i…

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Bloomberg Linea broke the news in on Wednesday, June 18, 2025.
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