How are Spain’s economic sectors exposed to the Iran war shock?
After a 2025 marked by uncertainty around trade policy, in 2026, the conflict in Iran has emerged as the main source of risk for the global economy. We analyse the exposure channels of Spain’s various economic sectors to this shock. We focus on four transmission channels: the rising cost of fossil fuels, global trade tensions, direct supply risks stemming from the blockade of the Strait of Hormuz, and the potential tightening of financial conditions.









