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Global Market Update: Iran Escalation: Market and Cross-Sector Credit Implications

March 5, 2026

ÂÒÂ×¶ÌÊÓÆµÌýand BMI experts unpack how the evolving conflict could reshape energy prices, sovereign risk, Treasury yields, and global credit markets. From oil supply risks to potential Strait of Hormuz disruption scenarios, we explore what matters most for investors navigating rising geopolitical uncertainty.Ìý

Watch on YouTube:

Speakers:

Winnie Cisar, Global Head of Strategy at ÂÒÂ×¶ÌÊÓÆµ
Zachary Griffiths, Head of IG & Macro Strategy at ÂÒÂ×¶ÌÊÓÆµ
Regis Chatellier, Head of EM Sovereigns at ÂÒÂ×¶ÌÊÓÆµ
Cedric Chehab, Chief Economist at BMI
Ramona Moubarak, Head of MENA Country Risk & Global Banking at BMI

Timestamps:

– Introduction
– Iran War Scenarios & Pathways
– US Policy & Political Constraints
– Market Reactions & Fixed Income
– Emerging Markets Impact
– Oil Price Scenarios
– Asia & GCC Economic Impact
– Infrastructure Risks & Positioning
– Fed Policy & Treasury Outlook
– Equity Markets & Credit Wrap-up

Related Resources:

Iran Tensions: Credit Risks, Resilience & Spread Drivers: Cross‑sector analysis of spreads, funding conditions, and issuer resilience amid rising geopolitical risk. /insight…

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