Wall Street Slides Amid Oil Price Pressure as SpaceX Rally Stands Out
ABD hisse senedi piyasaları, İran ile müzakerelerdeki duraksama ve ham petrol fiyatlarındaki sert yükselişin yarattığı jeopolitik baskıyla haftaya düş

U.S. stock markets started the week with declines, pressured by geopolitical tensions stemming from stalled negotiations with Iran and a surge in crude oil prices, while a strong rally in space and technology giant SpaceX highlighted a notable divergence in the market.
Geopolitical Tensions and Energy Market Volatility
The most significant pressure on markets stems from rising energy costs and an increase in bond yields. President Donald Trump stated to Axios that the U.S. is "only semi-negotiating" with Iran and wants to apply economic pressure, dampening risk appetite.
Strong Performance in SpaceX and Chip Sector
While the broader market trended negative, significant corporate-specific movements were observed. In particular, demand for artificial intelligence (AI) and space defense sentiment drove specific stocks higher.
Market Pulse Ahead of Critical Inflation Data
Investors' focus is now shifting to upcoming macro data. The Consumer Price Index (CPI) to be released on Wednesday will serve as a critical reference for the Federal Reserve's future interest rate policies.
Markets are currently trying to balance oil-driven inflationary pressures against AI-focused earnings narratives. The 10-year yield approaching 4.68% is pressuring growth stock valuations and creating upward pressure on the VIX. Prior to Wednesday's CPI print, option market positioning (Gamma Exposure) is highly sensitive; should the data deviate from expectations, we could see a sharp spike in short-term volatility, particularly within the S&P 500.
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