When the Strait of Hormuz heats up... Markets don't wait. >Oil spikes. Gold rallies. Stocks react. >And the biggest moves happen before the headlines catch up. In *Trading the Strait of Hormuz Crisis*, you will learn how global markets actually respond to geopolitical shocks - and how traders position themselves ahead of the chaos. This is not news analysis. This is a trading framework built for real-world volatility. Inside this book, you will discover: How oil reacts to supply disruption and geopolitical tension Why gold becomes a safe haven before panic spreads How stock markets price geopolitical risk in real time The role of the U.S. dollar during crisis events How crypto behaves under global liquidity shifts >Geopolitical events create fear. Markets create opportunity. The difference is timing. If you understand how markets move during a crisis, you don't react... You position. Because in a Hormuz scenario, the first move is never the last.
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