Macroeconomy
Fed Decision Looms: Market Anticipation and Strategic Positioning
724FinanceGökhan Erez
With the Fed’s rate decision just a day away, the 5.25‑5.50% target range and 3.7% core PCE inflation rate are reshaping investors’ risk appetite.
Fed’s Decision Window: Market Watch
Inflation Indicators and Expected Rate Move
Immediate Reactions in Bond and FX Markets
Equity Sector Positioning
Tactical Recommendations and Risk Management
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Gökhan Erez – Macro‑Strategy & Asset Allocation Specialist
The current data set surrounding the Fed’s decision indicates that inflation pressures remain elevated and further rate hikes are plausible. Portfolios should prioritize short‑term fixed‑income instruments and USD‑based currency plays, while cautiously leveraging financial and energy equities for modest growth. Employing options and spread tactics is essential to cushion against sudden volatility spikes.