Global Markets Revive Risk Appetite: S&P 500 Nears Record High and Energy Prices Fluctuate
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Key Highlights
Orta Doğu’da gerilimin yumuşaması, risk iştahını tetikleyerek küresel piyasalarda geniş çaplı bir yükseliş dalgası yarattı. ## Gerginliğin Sönmesi ve
The easing of tensions in the Middle East has sparked a broad surge in risk appetite across global markets.
De‑escalation and Mild Oil Price Dip
The reduction in Middle‑East friction pulled U.S. crude oil to around $80, easing inflation concerns modestly.S&P 500 Nears Record and Trillion‑Dollar Titans
Bond and Treasury Market Volatility
HSBC’s Quarterly Earnings and Share‑Buyback Initiative
Divergent Performance in Asian Markets
Markets are buoyed by the Middle‑East de‑escalation, yet investors remain cautious, awaiting clearer signals on interest‑rate trajectories and U.S. employment data. Tightening credit conditions and the contraction in SME loan growth may raise liquidity risk for banks, prompting a more prudent stance from central banks. The surge in short‑term external debt and peak foreign‑bond purchases underscore the fragility of global capital flows, a factor that could elevate borrowing costs and dampen growth, especially in emerging economies like Turkey.
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