📍 The U.S. stock market has adjusted ~5% since Iran tensions erupted, and is now on its 15th trading day.


📌 Looking back at over 30 geopolitical shocks in the past, the S&P 500 typically bottoms around this mark - a remarkable coincidence with current developments.
📌 After that, the market typically takes approximately ~40 sessions to recover and gradually return to pre-crisis levels, as capital flows return and sentiment stabilizes. Will macroeconomic variables from oil, inflation to policy intervention change history?
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