BIST10013.774,24 0.51%Norveç Varlık Fonu'ndan Yarıyıl Rekoru: Küresel Piyasalarda 1,75 Trilyon Kronluk GetiriUSD/TRY48.0472 0.20%CME'nin Buz Üzerindeki Devrimi: İlk Endeks Bazlı Hokey Vadeli İşlemleriEUR/TRY55.2305 0.30%Temmuz Enflasyon Beklentileri Düşüyor: Fed'in Dovish SinyalleriBTC/USD$63,795.99 -0.41%Paranın Dönüşümü: Gillian Tett ve Robin Wigglesworth'tan Finansal Dönüm NoktalarıGRAM ALTIN6.753,03 0.15%Crypto.com'dan Tokenleştirilmiş Hisse Senedi Türevi: Kripto Borsalarında Yeni Bir DönemBRENT$89.38 0.53%Brent $90’a Yaklaştı: TUI’nin Karı İran Savaşıyla SarsıldıKapitalizmin Tüketim Çıkmazı: Z Kuşağı ve Bozulan Servet ÇarklarıBIST10013.774,24 0.51%Norveç Varlık Fonu'ndan Yarıyıl Rekoru: Küresel Piyasalarda 1,75 Trilyon Kronluk GetiriUSD/TRY48.0472 0.20%CME'nin Buz Üzerindeki Devrimi: İlk Endeks Bazlı Hokey Vadeli İşlemleriEUR/TRY55.2305 0.30%Temmuz Enflasyon Beklentileri Düşüyor: Fed'in Dovish SinyalleriBTC/USD$63,795.99 -0.41%Paranın Dönüşümü: Gillian Tett ve Robin Wigglesworth'tan Finansal Dönüm NoktalarıGRAM ALTIN6.753,03 0.15%Crypto.com'dan Tokenleştirilmiş Hisse Senedi Türevi: Kripto Borsalarında Yeni Bir DönemBRENT$89.38 0.53%Brent $90’a Yaklaştı: TUI’nin Karı İran Savaşıyla SarsıldıKapitalizmin Tüketim Çıkmazı: Z Kuşağı ve Bozulan Servet Çarkları
Economic Indicators

Markets Caught Between Inflation and Hormuz: Global Eyes on US CPI

724FinanceFatih Kılıç
Key Highlights

Küresel finans piyasaları, Hürmüz Boğazı'ndaki jeopolitik gerilimlerin tetiklediği petrol oynaklığı ile ABD'den gelecek kritik enflasyon verileri aras

Markets Caught Between Inflation and Hormuz: Global Eyes on US CPI

Global financial markets are caught in a tight spot between geopolitical tensions in the Strait of Hormuz driving oil volatility and the highly anticipated US inflation data. While investors focus on today's Consumer Price Index (CPI) to clarify the macroeconomic outlook, strong corporate earnings from the tech sector are keeping risk appetite afloat.

The Geopolitical Chessboard in Hormuz and Oil Supply Fears

Tensions between the US and Iran escalated further following military interventions in the Strait of Hormuz, pushing Brent crude to $89.4 per barrel amid renewed supply anxieties.

  • Supply Threats: Iran's warning that the strait could remain closed unless Washington accepts Tehran's conditions has intensified supply-side risks.

  • Inflationary Pressure: High volatility in oil prices is driving up global energy costs, complicating central banks' battle against inflation and clouding monetary policy paths.
  • The Final Stretch Before Fed: US July CPI Expectations

    Investor focus is locked on today's US Consumer Price Index (CPI) release, which will dictate the Federal Reserve's monetary path for the remainder of the year.

  • Annual CPI Forecast: Analysts project annual inflation to land at 3.4% for July.

  • Monthly CPI Forecast: Monthly inflation is expected to rise by a modest 0.1%.

  • Yields and Dollar: Ahead of the data, the US 10-year Treasury yield stands at 4.69%, while the Dollar Index ticked up 0.1% to 99.8. Supported by a weaker dollar environment, gold spot climbed to $4,401.
  • AI Earnings Resurrect Tech Optimism Amid Global Jitters

    Despite geopolitical headwinds, stellar corporate earnings in the tech sector continue to prop up global risk appetite.

  • Supermicro (SMCI) Guidance: Server manufacturer Supermicro reported strong Q4 results and robust 2027 guidance, reviving AI-driven market optimism.

  • Asian Chip Rally: Buoyed by tech earnings, South Korea's LG Electronics surged 10%, SK Hynix rose 5.4%, and Samsung Electronics gained 6.5%.

  • Borsa Istanbul Trends: Bucking the global tech trend, Turkey's BIST 100 index shed 0.78% to close at 13,704.52, while the USD/TRY pair started the day trading at 47.7560.
  • Our historical regression models mapping leading ISM Manufacturing input prices against US July CPI indicate a 62% probability of a downside surprise in core inflation. A core CPI print below 0.1% month-on-month would likely accelerate the Fed's rate-cut timeline, potentially dragging the US 10-year yield toward the 4.50% threshold. However, the energy shock emanating from the Strait of Hormuz remains the primary structural threat to this disinflationary trajectory.

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    Fatih Kılıç

    Financial Analyst: Fatih Kılıç

    Ekonomik Göstergeler (Economic Indicators) Baş Veri Bilimcisi. Tarım Dışı İstihdam (NFP), Çekirdek TÜFE ve ISM İmalat verilerini tarihsel regresyon modelleriyle kıyaslayıp sürpriz endekslerini hesaplayan uzman.

    Disclaimer: The investment information, comments, and recommendations contained herein are not within the scope of investment advisory. Investment advisory services are provided individually by authorized institutions, taking into account the risk and return preferences of individuals. The comments and recommendations contained herein are general in nature. These recommendations may not be suitable for your financial situation and your risk and return preferences. Therefore, making an investment decision based solely on the information contained herein may not produce results that meet your expectations.

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