All Options Considered: Iran War, Hormuz and Market Tails
Apr 01, 2026•15 min
Episode description
Cross-asset markets are under stress given the bi-modal risks of de-escalation vs. prolonged conflict. This edition of All Options Considered podcast discusses the probability distribution around the outcomes of the Iran war and markets. BI’s Chief Global Derivatives Strategist Tanvir Sandhu is joined by Edward Fishman, author of Chokepoints: American Power in the Age of Economic Warfare and Senior Fellow at Council on Foreign Relations.
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