Foreign Investors End Six-Week Hiatus: $185.9M Equity Exit Shakes Market
Altı haftalık aranın ardından yabancı sermaye rotayı değiştirerek Borsa İstanbul'da satış baskısını tetikledi, 31 Temmuz itibarıyla sona eren haftada

After a six-week hiatus, foreign capital shifted course, triggering selling pressure in the local equity market as the week ending July 31 marked a significant portfolio rotation.
Breaking the Six-Week Stagnation
The buying trend sustained by foreign investors over the last six weeks has fractured, revealing a distinct portfolio rotation in the markets. The movements observed during the week ending July 31 signal a shift in the delicate balance of capital flows:
The Delicate Balance of Risk Appetite
The fact that investors remained buyers on the bond side despite the equity sell-off suggests a classic "flight to quality" strategy or a desire to take positions based on interest rate/exchange rate expectations. This divergence indicates that the external pressure on market liquidity is being partially offset by government securities.
This fracture in foreign investor behavior acts as a "brake" against the overheating of equity return expectations. Specifically, the parallel movement of equity sales and bond purchases demonstrates that portfolio managers are not entirely abandoning risk-taking, but prefer shifting asset distribution to safer havens. This confirms the need to closely monitor the correlation between banking stocks' Net Interest Margins (NIM) and bond yields in the coming period.
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