Advanced Economies’ Sovereign Debt Costs Hit Post‑2008 Peaks
724FinanceKemal Tekin
Key Highlights
Gelişmiş ekonomilerin devlet tahvil maliyetleri, Orta Doğu’da yükselen gerilimler ve sürdürülen enflasyon beklentileri nedeniyle, 2008 küresel krizind

Advanced economies’ sovereign debt costs have surged to their highest levels since the 2008 global crisis, driven by escalating Middle East tensions and persistent inflation expectations.
Market Ripples from Middle East Tensions
The ongoing conflict in the Middle East has amplified energy price volatility and reignited global inflation pressures, prompting a rise in risk premiums across fixed‑income markets.
Yield Spike Across Core Economies
These yields represent an unprecedented spread since the 2008 crisis and signal a possible reassessment of central banks’ rate trajectories.
Strategic Moves by Market Players
Mapping Risks and Opportunities
Markets are pricing in continued short‑term yield pressure as long as geopolitical uncertainty in the Middle East persists. EM investors should gravitate toward high‑yielding developed‑market sovereigns while tightening risk‑management protocols. Liquidity constraints and central‑bank policy shifts are likely to amplify volatility in the coming quarters.
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