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High Impact

European Markets Steady Amid US-Iran Tensions

📅
🏷Markets
📰via ForexLive
✍️Edited by Luís Barata

European markets exhibited a calmer mood despite ongoing tensions between the US and Iran. This stability can be attributed to a reduction in risk appetite, as investors appear to be weighing geopolitical risks against potential economic recovery signals in the region. European equities, particularly those in sectors sensitive to energy prices and geopolitical stability, are most exposed due to their reliance on oil imports and regional stability. Traders will be closely watching upcoming economic data releases from the Eurozone, including inflation figures, which could influence market sentiment and risk dynamics further.

Source: Originally reported by ForexLive at May 13, 2026. Summary and market context by Trading News Terminal editorial.

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