Recent FFTT editions published on March 3 and March 10, 2026, examine geopolitical risks impacting financial markets. The analysis suggests Iran's strategic focus may target the UST market rather than direct military confrontation with the US.
A separate report warns that the Strait of Hormuz could remain closed for a duration significantly exceeding current investor expectations. These assessments highlight potential supply chain and stablecoin market vulnerabilities tied to escalating regional tensions.
FFTT Analysis Links Iran Strategy to UST Market and Hormuz Closure Risks
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