S&P 500 Bounces on Iran Relief as Oil Tensions Ease episode artwork

EPISODE · Mar 17, 2026 · 33 MIN

S&P 500 Bounces on Iran Relief as Oil Tensions Ease

from The Morning Market Show · host Kim Lori

In this episode, we break down the S&P 500's sharp rebound as geopolitical tensions with Iran eased and oil prices retreated. Discover key takeaways for investors navigating this volatile market shift, including how relief from supply fears drove the rally and what it means for your portfolio. What You'll Learn: • Why the S&P 500 surged on Iran relief. • How easing oil tensions boosted market sentiment. • Key indicators to watch for further volatility. • Short-term vs. long-term trading strategies. • Impact of geopolitical events on energy stocks. Key Insights: • Iran relief triggered risk-on rotation into equities. • Oil price drop relieved inflationary pressure. • S&P 500 bounced from oversold technical levels. • Energy sector lagged despite broader rally. • Traders remain cautious as Middle East risks persist. Recommended Resources: • Bloomberg Terminal - real-time market data and news. • Reuters - geopolitical analysis and oil price tracking. • CBOE Volatility Index (VIX) - measure of market fear.

Episode metadata supplied by the publisher feed · Published Mar 17, 2026

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