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Geopolitical Tensions and Economic Uncertainty Impact Market Sentiment

A souring of risk appetite is being noted in financial markets, driven by escalating geopolitical tensions, including the US-Iran conflict, which has strengthened demand for safe-haven assets. This environment of uncertainty is compounded by questions over Europe's ability to avoid a recession, ongoing trade disputes such as new US duties on Brazilian exports, and political developments in South America.

Inflation Concerns and Bond Market Dynamics

A gradual resurgence in inflation expectations, partly linked to energy costs, is contributing to a rise in U.S. Treasury yields. This dynamic is being observed alongside shifts in central bank outlooks, with institutions like the Monetary Authority of Singapore maintaining a cautious tone on inflation despite a modest rebound in consumer prices.

US Debt Profile Shifts Amid Changing Investor Base

Recent moves in the U.S. bond market are being attributed to a combination of renewed inflation fears and a significant shift in the composition of buyers for U.S. debt. This has prompted analysis suggesting that gold may be gradually taking on a more central role in the global monetary system relative to U.S. Treasuries.

स्रोत

1Gold is Gradually Replacing Treasuries at the Heart of the Global Monetary Systemgoldbroker.com2<![CDATA[Malaysia: Solid fundamentals support Ringgit and bonds – DBS]]>fxstreet.com3<![CDATA[EUR/JPY Price Forecast: Cross consolidates under 187.00, bulls target 188.00]]>fxstreet.com4<![CDATA[Singapore Dollar: MAS seen on hold with cautious inflation tone – OCBC]]>fxstreet.com5Brazil says 16.5% of exports face combined US duties of 37.5%investing.com6Trump says Venezuela is not ready for elections, but has made progressinvesting.com

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