EPISODE · Mar 9, 2026 · 17 MIN
Oil Surges on U.S.–Iran Conflict, Weak Jobs Report Shakes Markets & Inflation Outlook | Weekly Macro Recap
from GAR Capital Podcast · host Carlos Garcia
This week on the GAR Capital Podcast, Carlos Garcia breaks down the five biggest macro stories driving global markets right now, including rising geopolitical tensions, major economic data surprises, and increasing volatility across asset classes.In this episode we cover:• Oil prices surging as tensions escalate between the United States and Iran• A weaker-than-expected U.S. jobs report and what it means for economic growth• The potential inflation impact of higher energy prices and supply disruptions• Stock market volatility following the economic data release• Cross-asset reactions across commodities, equities, and cryptocurrenciesCarlos explains how these developments affect the broader macro environment, Federal Reserve policy expectations, and risk sentiment across global markets.As always, the focus is on technical levels, disciplined risk management, and actionable insights for traders and investors navigating headline-driven volatility.🌐 Market insights and research: https://www.gar.capital💬 Join the GAR Capital community: https://www.gar.capital/free-signup⚠️ This podcast is for informational and educational purposes only and does not constitute financial advice.
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Oil Surges on U.S.–Iran Conflict, Weak Jobs Report Shakes Markets & Inflation Outlook | Weekly Macro Recap
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