South Korea’s Inverse Correlation: How Markets Are Reacting?
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Key Highlights
Güney Kore ekonomisinin küresel ticaret savaşları ve gümrük tarifeleriyle ilgili yeni gelişmeleri, Asya borsalarını etkilemeye başladı. Son veriler, G

South Korea’s economic developments, particularly its exposure to global trade wars and tariff policies, are beginning to impact Asian markets. Latest data shows that U.S. tariffs targeting South Korean exports are already affecting capital expenditure plans of local companies.
Tariff Effects on the Stock Market ## - A 10% increase in South Korean exports led to a 1.2% drop in local stock markets within 3-5 trading days.
ECB Rate Hike Path and Eurozone Inflation ## - The ECB’s expected rate hikes for 2024 are exacerbating market tensions, mirroring South Korea’s export crisis.
Outcome ## - South Korea’s inverse correlation has led to a 1.5% drop in Asian stock markets in Q1 2024.
South Korea’s export crisis could spill over into European and U.S. markets. The interpretation of the ECB’s rate path in this region will determine global capital flows.
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