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Financial market reactions to US Navy Blockade of Iranian Hormuz Strait are tracked by final.red's AI through equity index movements, bond yield shifts, credit default swap spreads, and volatility index readings. These market signals serve dual purposes: they reflect investor assessment of the crisis and they feed back into the real economy through confidence effects and credit conditions.
Historically, financial market reaction to geopolitical crises peaks 2–3 weeks after the crisis onset, well before political resolution. The AI uses market signal patterns as an independent cross-check on its news-based prediction model — significant divergences between the two signal streams often indicate that one is ahead of the other, providing valuable timing information.