Iran Risk Looms, but Markets Don’t Capitulate

Geopolitical tensions in Iran are pressuring the S&P 500 (SPX), but markets haven’t capitulated. Sonali Basak joins Sam Vadas to explain why investors may want to buy selectively, not panic, as oil volatility and higher rates strain consumers and private credit redemptions test firms like Blue Owl (OBDC), Morgan Stanley (MS), and Deutsche Bank (DB).

Market On Close

12 Mar 2026

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