A sharp sell‑off in South Korea is raising caution flags for global markets. Noah Kann explains how volatility in the KOSPI, rising energy prices, and tensions in the Strait of Hormuz are pressuring Asian currencies as the U.S. dollar strengthens. While the KOSPI often acts as an early signal for the S&P 500, Kann warns that the current extremes argue for caution rather than bottom‑fishing.
Market On Close
04 Mar 2026
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