The S&P 500 and NASDAQ 100 reached record highs, demonstrating market resilience despite the ongoing US-Iran conflict. Simultaneously, gold prices increased, reflecting investor concerns about geopolitical instability and inflation. This divergence suggests investors are seeking safe haven assets while also betting on continued economic strength, indicating complex market dynamics driven by global events. The conflict's impact is multifaceted, influencing both risk-on and risk-off strategies.

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