(Strait of Hormuz)
In periods of extreme uncertainty, markets tend to express their judgment in the most direct way possible—through price. Oil breaking above $100 is not merely an energy story; it could become the starting point of a broader macro narrative shaping the months ahead. From inflation expectations to central bank policy, and from supply chains to global risk appetite, every move in energy prices has the potential to ripple across the entire financial system.
In an era where geopolitics increasingly redraws the map of global capital, volatility is no longer just noise—it is information. For those watching closely, every tick in oil is more than a number; it is a signal of how the world is being repriced in real time.

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