Investors warn that US stock markets are not reflecting inflation risks. High energy prices and the Iran conflict are overlooked. A recent spike in bond yields is causing caution. Experts note a market paradox with strong earnings but negative inflation signals. Clients are seeking clarity on this divided outlook. This situation could impact company profits and economic growth.

LONDON, May 15 : The global bond market limped to the end of a bruising week on Friday, as growing evidence of economic damage from the Iran war prompts investors to assume…

Mounting inflation fears, geopolitical tension and ongoing uncertainty around the Iran war has prompted selling pressure across asset classes.

Inflation fears increase as traders anticipate Fed interest rate hikes

Global stocks drop as inflation fears elevate bond yields, with the S&P 500 down 1% amid rising technology sector losses.

U.S. stocks declined Friday as rising crude prices fueled global inflation fears, pushing Treasury yields higher and making equities less attractive. The Trump-Xi summit yielded…