US markets staged a dramatic turnaround after early losses of nearly 900 points in the Dow, closing higher as signals emerged that tensions with Iran may be easing. Matt Maley, Chief Market Strategist, Miller Tabak breaks down what drove the reversal, whether oil markets overreacted to worst-case scenarios, and how investors should interpret geopolitical headline risk.
Produced/Presented: Ryan Huang
Image by Mohamed Hassan from Pixabay

US Markets Wrap: Markets Slide as Oil and Geopolitics Return to the Forefront
10:29

US Markets Wrap: Wall Street Bounces Back as Tech Leads the Charge
06:36

US Markets Wrap: Strait of Hormuz Fears Grip Global Markets
08:15