US Sells 30-Year Bonds at Highest Borrowing Costs Since 2001: How Markets Are Responding
724FinanceEge Kaan
Key Highlights
> ABD'nin 30 yıllık tahvillerini en yüksek faiz oranlarında satması, piyasa beklentilerini test ediyor. Bu durum, şirket kar performansları ve ABD eko

The US selling 30-year bonds at record-high yields is a clear signal of market stress. This could negatively impact corporate earnings and long-term growth expectations. Risk indicators like the VIX are rising, reflecting investor concerns. Experts view this as a warning about the true limits of the US borrowing capacity.
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