Geopolitical Impact on Financial Markets
Escalating Tensions in Israel: How Geopolitical Unrest May Drive Investors Toward Safe-Haven Assets
With rising geopolitical risk stemming from the Israel conflict, how might this influence the demand for safe-haven assets like Gold and the US Dollar in the financial markets, considering the current strength and overbought conditions of the US Dollar?
Will the war and the growing demand for the US Dollar help sustain its current momentum?