US‑Iran Standoff Pushes Oil to Peaks, Markets React
Petrol fiyatları, ABD ve İran arasındaki barış görüşmelerinin çökmesiyle **%5** artarak **$88** seviyesine ulaştı ve küresel hisse senedi piyasalarını
Oil prices surged %5 to $88 a barrel as the US‑Iran peace talks stalled, rattling global equity markets.
Hormuz Strait Standoff: Pricing and Strategic Risk
With the strategic Hormuz Strait still in limbo, Brent futures jumped %5 in two days, hitting $88 per barrel – the highest since July 31.
Analyst Tony Sycamore (IG) likened the situation to a "Mexican standoff" and warned that the first side to blink will set the market direction.
Inflation and Fed Outlook: CPI Shadow
The US July consumer‑price index (CPI) report, which does not fully capture the recent energy cost surge, will still shape expectations for the September Federal Reserve meeting.
Bond and Equity Ripple Effects: Global Markets
US Treasury yields rose in Europe, accompanying a modest sell‑off in global bonds. Two‑year yields sit at 4.253%, while 10‑year yields are at 4.72%.
Nvidia’s $500 Billion AI Funding Initiative
Tech giant Nvidia announced a collaborative financing package worth $500 billion with major institutions including BlackRock, Apollo, and Goldman Sachs to fund AI infrastructure. Details on terms remain undisclosed.
Defne Aydın – Director of Geopolitical Risk & European Markets: "The US‑Iran tension spikes energy prices, elevating short‑term inflationary pressure and complicating the Fed’s policy response. Simultaneously, Nvidia’s massive financing deal injects liquidity into the AI sector, bolstering risk appetite. With the ECB still focused on its inflation target, volatility in energy markets may steer monetary policy toward caution. Investors should closely monitor bond yield trends and AI‑driven capital flows as they become decisive factors for market positioning."
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