Bessent’s Move Puts the Fed in a Tight Spot: Bond Intervention Ripple Effects
ABD Hazine Bakanlığı’nın **$200 milyar** tutarındaki tahvil alım programı, piyasalarda kısa vadeli rahatlama sağlarken, Fed’in sıkışık politika çerçev

The U.S. Treasury’s $200 billion bond‑buying program offered a short‑term market breather, yet it thrust the Fed back into a constrained policy narrative.
The Mechanics Behind the Treasury Purchase
The Treasury entered the 10‑year Treasury auction, directly absorbing supply and trimming 10‑year yields by 12 basis points. This intervention injected unexpected liquidity into the Fed Funds Futures market, the primary tool the Fed uses to steer short‑term rates.
Inflation Expectations and Market Reaction
Earnings Season Under the Shadow of Bond Moves
As corporations report earnings, 18% of the S&P 500 constituents are priced for >5% revenue growth, yet the 30% probability of persistent core inflation could still pressure profit margins despite the Treasury‑driven cost‑of‑capital reduction.
Ege Kaan – Wall Street & U.S. Macro Strategy Lead: While the Treasury’s aggressive buying tempers short‑term liquidity strains, the Fed’s continued propensity to keep policy “tight‑ish” may reignite Gamma Squeeze dynamics in the options market. With VIX anchored low and the core CPI outlook still hazy, a flattening yield curve will force market participants to hedge on both the rate and inflation fronts.
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