Bisnis.com, JAKARTA — The escalation of geopolitical conflicts in the Middle East has reignited uncertainty in the global economy, including fluctuations in the stock market. In such conditions, investors are advised to be more cautious in executing sectoral rotation strategies.
The energy sector is currently under the spotlight, particularly due to the recent cross-border attacks between Iran and Israel. These tensions have raised market concerns over potential disruptions to oil supply from the Middle East.