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Political Instability Fuels Market Volatility

Recent news strongly confirms the prediction that political instability fuels market volatility. Geopolitical tensions surrounding the US-Iran conflict and negotiation uncertainties are explicitly cited as drivers of market volatility and intensifying global economic problems, aligning with the prediction's core mechanism.

Predicted 7 October 2025
Validated 27 April 2026
Horizon short
What would prove this wrong

European governments stabilize over the next six months and market volatility measures tied to European assets return to pre-upheaval baseline levels.

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Supporting articles

  • RT Prof. Schlevogt’s Compass No. 51: Persian Armageddon, rewired – Seven repercussions of the Iran war 7 April 2026
  • Truthout US-Israeli War on Iran Is Intensifying All of Global Capitalism’s Problems 9 April 2026
  • Fox Business US-Iran negotiation uncertainty fuels market volatility 21 April 2026
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