S&P 500's Four-Year Victory and Wall Street's Risky Bet
724FinanceDr. Yaman Ege
Key Highlights
Amerikan hisse senedi piyasaları, nadir görülen tarihi bir performansın eşiğinde dururken, yatırımcıların ruh hali şaşkınlık ve iştahın karmaşık bir k

American stock markets stand on the precipice of a rare historical performance, while investor sentiment morphs into a complex blend of astonishment and appetite. The S&P 500 is poised to deliver annual gains for a fourth consecutive year, marking a bull run seldom seen in market history.
A Historic Rally and the Looming Risk Profile
Market data casts serious doubts on the sustainability of this momentum, while key indicators shape up as follows:
Wall Street's Double Down on the Momentum
Despite risk warnings, mainstream capital flows are not retreating; instead, they are doubling down on their positions:
Behind this market resilience lies not just macroeconomic data, but the revolutionary potential of semiconductor technology. Wall Street's strategy to "double down" is essentially a bet on TSMC's production capacity and the power of ASML's EUV lithography machines. However, the rare earth elements conflict between the US and China is thickening the cloud over these tech stocks (specifically Nvidia and its ecosystem). The slightest disruption in the supply chain could abruptly halt this AI-driven rally. Investors are not just betting on an index, but on the outcome of a global chip war.
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