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By Nimrat , 3 March 2026
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Global Equity Markets Slide as Middle East Crisis Triggers Risk Aversion

Stock markets across Asia, Europe, and the United States retreated sharply as escalating tensions in the Middle East rattled investor confidence and reignited concerns over energy security and geopolitical stability. Benchmark indices in India and major global exchanges posted declines amid rising crude oil prices and renewed safe-haven flows into gold and government bonds. Market participants responded swiftly to the heightened uncertainty, trimming exposure to risk assets and reassessing growth forecasts.

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