US/Israel strike: US hit Iran’s nuclear facility, Israel hit Tehran. UK sub in position.Iran retaliated: Missiles struck southern Israel (near nuclear site) and a US-UK base in the Indian Ocean.
Strait of Hormuz is the choke point. If this escalates, crude could rip past $100?
The usual suspects: LMT, NOC, RTX
Tech: Inflation pressure stays hot ,rates don’t drop ,QQQ might take a hit.
My move:watch crude futures over the weekend. If no de-escalation by Monday open, I’m adding energy and trimming some tech.
Trump's 48hour ultimatum is about to expire. Will there be significant market volatility?
Not financial advice,DYOR.
I currently hold a small amount of USO and TLT.