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US-Iran Tensions Drive Volatile Global Markets and Israeli Stocks

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US-Iran Tensions Drive Volatile Global Markets and Israeli Stocks
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דווח לראשונה בCalcalist · Jul 8, 2026

מה קרה

Escalating US-Iran tensions following attacks in the Strait of Hormuz have caused volatile global markets, with oil prices surging and mixed performances in Israeli and US stock markets. Israeli bonds weakened amid security spending concerns, while the Federal Reserve signals possible rate hikes due to inflation risks. Investors are shifting toward defensive sectors amid geopolitical uncertainty and seasonal market weakness.

  • 01US-Iran conflict escalates after attacks in Strait of Hormuz, ending ceasefire and spiking oil prices.
  • 02Tel Aviv Stock Exchange closes mixed; banks rise amid rate cut expectations, construction and insurance fall.
  • 03US markets mixed with tech rally offsetting losses in airlines and consumer sectors due to oil price surge.
  • 04Israeli bond market dips on increased security spending; US Treasury yields rise on inflation fears.
  • 05Israel’s deficit at 3.3% of GDP, below target, aided by strong revenues and controlled spending.
  • 06Federal Reserve minutes reveal split on rate policy, with a likely hike later this year amid inflation concerns.

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סיפורים קשורים

US-Iran Tensions Drive Volatility as Tel Aviv Stock Exchange Opens Amid Global Market UncertaintyJul 30, 2026US-Iran Tensions Impact Markets as Israeli Inflation and Health Sector Rally DominateJul 19, 2026Trump’s Iran Remarks Trigger Global Market Volatility but Israeli Stocks Show Mixed ReactionJul 8, 2026Global Markets Rise Amid Rising US-Iran Tensions Over Strait of HormuzAug 17, 2026US-Iran Tensions Escalate Amid Sharp Global Market Declines Including Tel Aviv ExchangeJul 17, 2026US-Iran Tensions Drive Dollar and Oil Prices Up, Tel Aviv Stock Exchange FallsJul 8, 2026