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Markets

FridaySeptember 11, 2026

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Markets

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Markets Are Learning to Live With the Shock

Markets are treating the Hormuz energy shock as both temporary and structural: equities are resilient, but oil, LNG, reserves, and central-bank expectations point to a new risk regime. The question is not whether investors can rally through one crisis, but whether portfolios and governments are being repriced for recurring energy-security shocks.

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