DJI46,994.77+0.94%
GDAXI23,564.01+0.50%
GSPC6,708.09+1.14%
HSI25,834.02+1.45%
IXIC22,418.06+1.41%
N22553,751.15-0.13%
AAPL252.92+1.12%
AMZN211.07+1.64%
CL93.72-5.06%
EURUSD1.1523+0.88%
GBPUSD1.3332+0.82%
GC5,004.10-1.14%
GOOG303.66+0.73%
JPM285.88+0.86%
META626.42+2.16%
MSFT399.50+1.00%
NVDA184.78+2.51%
TSLA397.93+1.72%
DJI46,994.77+0.94%
GDAXI23,564.01+0.50%
GSPC6,708.09+1.14%
HSI25,834.02+1.45%
IXIC22,418.06+1.41%
N22553,751.15-0.13%
AAPL252.92+1.12%
AMZN211.07+1.64%
CL93.72-5.06%
EURUSD1.1523+0.88%
GBPUSD1.3332+0.82%
GC5,004.10-1.14%
GOOG303.66+0.73%
JPM285.88+0.86%
META626.42+2.16%
MSFT399.50+1.00%
NVDA184.78+2.51%
TSLA397.93+1.72%
DJI46,994.77+0.94%
GDAXI23,564.01+0.50%
GSPC6,708.09+1.14%
HSI25,834.02+1.45%
IXIC22,418.06+1.41%
N22553,751.15-0.13%
AAPL252.92+1.12%
AMZN211.07+1.64%
CL93.72-5.06%
EURUSD1.1523+0.88%
GBPUSD1.3332+0.82%
GC5,004.10-1.14%
GOOG303.66+0.73%
JPM285.88+0.86%
META626.42+2.16%
MSFT399.50+1.00%
NVDA184.78+2.51%
TSLA397.93+1.72%
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Guerra do Irã: Ataque a ilha Kharg amplia risco para oferta global de petróleo

EUA dizem ter poupado infraestrutura de Kharg, mas avisam que podem rever decisão se Ormuz seguir ameaçado The post Guerra do Irã: Ataque a ilha Kharg amplia risco para oferta global de petróleo appeared first on InfoMoney.

Mar 14, 2026 &03511414202631; 17:51 UTC www.infomoney.com.br Trending 3/5
Read original on www.infomoney.com.br ↗
Negative for markets
Sentiment score: -75/100
High impact Immediate effect (hours)
WHAT THIS MEANS
Iran-US tensions escalate with attacks on Kharg Island oil infrastructure, creating significant supply disruption risks. The US warns of potential further action if the Strait of Hormuz remains threatened, amplifying global oil supply uncertainty and geopolitical risk premium.
AI CONFIDENCE
85% Very high
SENTIMENT GAUGE
NEWS POWER SCORE
AFFECTED ASSETS
Oil (WTI Crude)
CL=FCommodity
Expected to rise
Crude oil supply disruption risk from Kharg Island attacks and Strait of Hormuz threats drives immediate price appreciation
Euro / US Dollar
EURUSDCurrency
High volatility expected
Geopolitical uncertainty and energy crisis concerns create currency volatility; risk-off sentiment may weaken EUR
Euro Stoxx 50
^STOXX50EIndex
Expected to decline
European equities pressured by energy cost inflation and economic slowdown fears from oil supply disruption
S&P 500
^GSPCIndex
Expected to decline
US equity markets face headwinds from elevated oil prices and geopolitical risk premium
Gold Futures
GC=FCommodity
Expected to rise
Safe-haven demand increases amid escalating Iran-US military tensions
PRICE HISTORY
Loading chart...
SUGGESTED ACTION
Long crude oil (CL=F) and gold (GC=F) as geopolitical hedges; reduce exposure to energy-intensive European equities. Monitor Strait of Hormuz developments closely for potential supply shock amplification.
KEY SIGNALS
Critical infrastructure attack on major oil export facilityStrait of Hormuz supply chain vulnerabilityEscalating geopolitical risk premiumPotential for further military actionGlobal energy inflation pressure
SECTORS INVOLVED
EnergyUtilitiesTransportationFinancials
Analysis generated on Mar 16, 2026 at 12:17 UTC
Disclaimer: This analysis is generated by artificial intelligence for informational purposes only and does not constitute financial advice, investment recommendation, or solicitation. Original reporting by InfoMoney. Always conduct your own research and consult a qualified financial advisor before making investment decisions.