Oil Volatility Spikes as Trump’s Shifting Iran Strategy Keeps Markets on Edge
ABD Başkanı Donald Trump, İran ile gerilimi düşürmek ve **Hormuz Boğazı**ndaki yük trafiğini yeniden başlatmak amacıyla planlanan yeni saldırıları ask

President Donald Trump announced late Saturday that he would halt planned attacks on Iran to facilitate renewed talks aimed at de-escalating the conflict and restoring stalled cargo traffic through the Strait of Hormuz. This decision marks the latest in a pattern of announcements where the U.S. president first threatens massive strikes and later calls them off. These abrupt shifts have been a defining feature of the five-month conflict, sending prices of oil and basic goods soaring and keeping global markets on edge.
A Pattern of Volatility: Market Whiplash
Trump's stop-and-start strategy creates unpredictability for investors while amplifying volatility in commodity prices. The trajectory of the conflict exacerbates concerns regarding energy supply security.
Timeline of Escalation and Retreat
Key events illustrating the fluctuating nature of the U.S. approach toward Iran highlight the risks facing global trade and energy routes:
Markets are hypersensitive to this geopolitical "on-again, off-again" approach. Trump’s stop-and-start tactic is embedding a permanent "risk premium" into crude oil. At the EM desk, the picture is clear: energy-importing emerging markets face rising inflationary pressure, while regional risk sentiment oscillates rapidly. Investors must maintain liquidity positions to navigate this erratic news flow.
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