Gold Surge, Trump’s Spending Claims, and Turkey’s Stagflation Warning
Prof. Dr. Serap Durusoy, 'Paranın İzinde' programında altının son yedi haftada gördüğü rekor yükselişi ve küresel piyasa belirsizliklerini analiz eder

Prof. Dr. Serap Durusoy, on the 'Paranın İzinde' program, dissected the recent seven‑week gold rally and the accompanying global market uncertainty, warning that Turkey is edging toward a classic stagflation scenario marked by shrinking output and soaring inflation.
Gold’s Seven‑Week Apex: Fresh Market Tension
Gold prices surged 30% over seven weeks, closing at $2,150, a historic threshold reshaping risk appetite.
Stagflation Signals in Turkey
Durusoy highlighted that a 45% inflation rate coupled with a contraction in production pushes Turkey into a stagflation risk zone.
Trump’s Economic Rhetoric: Catalyst for Market Swings
Former U.S. President Donald Trump’s recent statements, especially the promised $1.9 trillion infrastructure spend, have amplified global risk appetite and spurred gold demand.
Central Bank Sensitivity: Monetary Policy Tug‑of‑War
Policy rates set by the CBRT and the Fed are generating a dual‑sided pressure; the CBRT’s 8.5% rate reflects its inflation‑containment drive, while the Fed’s 5.25% stance steers global liquidity flows.
The ongoing gold super‑run signals more than geopolitical turmoil; it underscores stagflation risks in emerging economies. Turkey’s elevated inflation and narrowing production capacity compel tighter monetary tightening. Yet, global liquidity tightening and U.S. infrastructure spending will sustain short‑term volatility, pushing investors toward safe‑haven assets.
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