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IVVBullishMarket Recapnews
High materiality7/10

IVV poised for upside as markets historically rebound after conflicts

Sep 9, 2026, 11:51 AM EDT1 sourcesAI-analyzed
Why it may matterVerify against the original reporting

The article highlights resilient equities and favorable historical post-conflict performance for the S&P 500, implying IVV could rise as risk sentiment improves; near-term volatility from oil prices is a caveat but not a deterrent to a broader up-move.

AI summary

What happened, with direct paths to the underlying reporting

Historical data show the S&P 500 tends to rise after major conflicts, with mid-term gains around 7% and long-run advances. The article notes SPY up about 13% over six months while oil prices rise on Iran action, underscoring resilient equities. If the Iran war nears resolution, IVV could test recent highs as risk sentiment improves.

  • Iran conflict began February; oil higher, equities resilient.
  • Six months in, markets up about 13%; history favors gains post-conflict.
  • SPY near record highs; historical post-conflict gains highlighted.
  • Trump hints end to Iran war; potential to retest highs.
  • S&P 500 post-conflict returns: 3m +3%, 6m +7%, 1y +12%.

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