
How should the US balance sanctions on Iran with efforts to stabilize global oil prices and regional security?
How might US rejection of Iran's Strait of Hormuz proposal affect oil markets and regional stability?
If Iran struck Jordan and UAE while Trump threatens harder retaliation, is this escalation spiraling toward a wider regional war, or still a controlled exchange?
Given the escalating strikes alongside renewed talk of a nuclear deal, can military pressure and diplomacy actually work together here, or does one undercut the other?
Given the mixed signals—enrichment concessions, Russia's offer, missile purchases, and evacuation warnings—do you think diplomacy or military conflict is more likely in the coming weeks?
What would need to happen for either side to view negotiation as a stronger option than continued strikes—and does that moment seem close, or far off?
What's driving the gap between the administration's framing of these strikes as decisive wins and reporters' more skeptical accounts—access, agenda, or something else?
Given the mix of strikes, proxy tensions, and economic ripple effects, which of these headlines do you think signals the biggest turning point—and why?
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