US Unleashes Historic Financial Siege on Iran: Treasury Secretary Bessent Declares 'Endgame'
ABD'nin yeni Hazine Bakanı **Scott Bessent**, Washington’ın Tahran’a yönelik jeopolitik ve finansal stratejisinde agresif bir vites artışına giderek,
US Treasury Secretary Scott Bessent has announced a massive escalation in Washington's geopolitical and financial strategy toward Tehran, declaring the onset of the largest coordinated economic blockade in history. Writing on social media, Bessent characterized the upcoming measures as the most devastating financial offensive ever launched against an adversary.
"Maximum Pressure" 2.0: Weaponizing the Global Financial Architecture
Bessent asserted that President Donald Trump's policies have successfully crippled Iran's military infrastructure and nuclear capabilities, positioning the US for the final phase of its economic campaign. The US Treasury is now poised to leverage its sanctions authority to unprecedented extremes.
The strategic priorities of the new campaign include:
Commodity Markets Brace for Supply-Side Shocks
Bessent's uncompromising rhetoric—stating that the goal is to sever every economic lifeline keeping the regime afloat—has immediately reignited supply security concerns across global energy markets. Analysts expect a significant geopolitical risk premium to be priced into Brent and WTI crude contracts in the coming sessions.
From my perspective as an HFT and market depth specialist, we are already seeing algorithmic execution suites adjusting risk parameters across Brent crude futures and safe-haven assets. Order book density reveals a sharp increase in defensive bid-side liquidity, while dark pool volumes indicate institutional accumulation of energy sector equities. Smart money is front-running the supply-side implications of this 'financial shock therapy' on Tehran, as evidenced by a clear shift toward long positioning in major brokerage clearing data.
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