Central Bankers Take Centre Stage: How Markets Will React?
Merkez bankalarının son bir yıl içinde ABD, Avrupa ve Asya'daki politika değişiklikleri, finansal piyasalar üzerinde dengesiz bir etki yarattı. Federa

Central bank policies over the past year have sent shockwaves through financial markets. The Federal Reserve's 2022 pause on rate hikes, the Eurodollar rate's 2023 decline, and Japan's continued negative interest rates have disrupted currency and risk markets. This has led to increased volatility in indices like the VIX and the emergence of strategic opportunities such as gamma squeeze. In the S&P 500 options market, heavy concentration of open positions has put new pressures on market makers. Additionally, the Earnings Season has seen mixed reactions, with Apple, Microsoft, and Tesla exceeding expectations, while NVIDIA and AMD struggled amid ongoing semiconductor crises. These dynamics suggest a pivotal period for the U.S. economy in 2024.
Central bank policies are reshaping the long-term direction of markets, while rising volatility in options markets is creating new risk profiles for investors. The semiconductor sector's downturn during Earnings Season could further erode the value of technology stocks.
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