Global financial markets experienced a rebound driven by improved performance in the technology sector, with major indices like the NASDAQ and S&P 500 showing gains after a period of decline. However, geopolitical tensions, especially concerning Iran, continue to create uncertainty. Asian markets, including South Korea’s KOSPI, also saw strong gains, reflecting renewed confidence in tech stocks. Meanwhile, concerns persist in the oil market, where Brent crude prices rose due to supply disruptions. Gold prices recovered slightly amid market volatility, and currency markets show signs of caution as investors await key economic data and central bank decisions.
Bias read (Center): The article provides a balanced overview of market movements, geopolitical factors, and economic indicators without overtly favoring any particular perspective. It includes quotes from a financial expert and references multiple market sectors without ideological framing.



