🚨 High-risk warning (but needs to be viewed calmly) The core logic of this information is: Geopolitical escalation + fragility of the financial system → triggers a chain reaction Key variables include: Strait of Hormuz (affects global oil supply) Breakdown of US-Iran relations (increases conflict probability) Rising bond yields (liquidity tightening) Weakening dollar (capital flight to safe assets) If these factors occur simultaneously, it could indeed lead to: →

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