Episode

What the Iran Conflict Means for Markets

Podcast
Barron's Live
Published
Mar 2, 2026
Duration seconds
2735
Processing state
not_requested
Canonical source
https://pdst.fm/e/traffic.megaphone.fm/WSJ1563774221.mp3?updated=1777314229
Audio
https://pdst.fm/e/traffic.megaphone.fm/WSJ1563774221.mp3?updated=1777314229
JSON
/v1/public/podcasts/barron-s-live-411342/episodes/what-the-iran-conflict-means-for-markets
Markdown
/podcast/barron-s-live-411342/what-the-iran-conflict-means-for-markets.md

Actions

  • POST https://stenobird.com/v1/public/podcasts/barron-s-live-411342/episodes/what-the-iran-conflict-means-for-markets/transcription-requests
    Idempotently request low-priority transcript generation for this episode.
  • GET https://stenobird.com/podcast/barron-s-live-411342/what-the-iran-conflict-means-for-markets.md
    Read the agent-friendly Markdown representation of this episode resource.

Summary

Stocks have churned through the first two months of 2026, and that was before the U.S. launched attacks on Iran. Now, investors must grapple with the future of the AI trade, tariffs, interest rates, and the uncertainty of a war in the Middle East. Barron's Senior Managing Editor Lauren R. Rublin speaks with Ben Levisohn, Barron's new editor in chief, about stocks and sectors in the news, and what to do now. Learn more about your ad choices. Visit megaphone.fm/adchoices