Iran-US Tensions Peak: 'Risk-Off' Cycle Triggered in Global Capital Flows
Ateşkes anlaşmasının hemen ardından iki tarafın askeri saldırılarla karşılık vermesi, İran ile Amerika Birleşik Devletleri arasındaki gerilimin haftal

Following the breakdown of a recent ceasefire, the exchange of military strikes between Iran and the U.S. has pushed tensions to their highest point in weeks, causing an immediate spike in the geopolitical risk premium and triggering a flight-to-safety dynamic across global markets.
Geopolitical Risk Premium Resurfaces
Markets are pricing the escalation of regional military conflict as a new risk factor in asset valuations, a move that is driving up risk premiums (CDS) in emerging markets.
Investor Sentiment Shifts to Defense
Capital flows are retreating from regions of increased uncertainty towards safer assets, while Trump's threat to destroy Iran and the Supreme Leader's vow of revenge have initiated a chaos pricing mechanism in the markets.
This tension represents not merely a regional crisis but a structural breaking point tightening global liquidity conditions. As hedge funds reduce positions, sudden fluctuations in oil prices threaten to distort inflation expectations, narrowing the maneuvering room for central banks.
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