Asian markets move higher as investors focus on domestic growth signals and technology-led gains, even as concerns remain around instability in the Middle East. Both outlets describe a risk-on reaction in equity markets, with buying concentrated in tech-related shares while broader anxiety linked to attacks does not dominate trading. The reports also point to ongoing uncertainty around energy logistics, particularly supply recovery efforts that hinge on the Strait of Hormuz. While the Strait of Hormuz remains a key chokepoint for regional and global energy flows, the market response suggests investors are not immediately pricing a major disruption. Instead, investors appear to look beyond the near-term headlines, following continued strength in technology sectors. Overall, the coverage frames the rally as a balance between geopolitical risk and market momentum, with investors concentrating on equity performance rather than reassessing energy supply in the short term. The articles do not provide specific index or country figures in the supplied text, but they align on the direction of market moves and the factors driving investor attention.