Summary
TLDR: The market is no longer worried about tensions between Iran and Israel as the U.S. has convinced Israel not to retaliate.
Key Points
1. The market has shown resilience in the face of geopolitical tensions between Iran and Israel.
2. The U.S. intervention has helped to prevent a potential escalation in the conflict.
3. Investors are optimistic as the market continues to move past concerns of immediate conflict.