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Markets likely to look past geopolitics as oil risks remain contained, says Andrew Freris
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Markets likely to look past geopolitics as oil risks remain contained, says Andrew Freris

February 20, 2026
Markets are increasingly accustomed to geopolitical shocks, with investors likely to overlook conflicts unless they significantly impact growth or inflation. While crude oil remains a key variable, strong US production and OPEC decisions are balancing supply. Investors are focused on US economic data and the Federal Reserve's delayed interest rate cut outlook.

Markets are increasingly accustomed to geopolitical shocks, with investors likely to overlook conflicts unless they significantly impact growth or inflation. While crude oil remains a key variable, strong US production and OPEC decisions are balancing supply. Investors are focused on US economic data and the Federal Reserve's delayed interest rate cut outlook.

Read full article on Economic Times

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