FT Haberine göre SP, Amerika'nın kredi görünümünü negatife çevirdi.
Vadeli kontratlar çakılırken Altın 1500 dolar üstüne fırladı...
Yunanistan, İrlanda, İspanya falan derken birisi odadaki fili işaret etmeye başladı. Bu haber çok negatif, etkileri bugünkünden daha farklı ve derin olabilir.
Amerika bütçesi yılda 1,5trilyon dolar açık veriyor, borçlanma limiti de 14,2 trilyon dolar olan tavana dayanmış durumda. Para arzı son iki yıldır neredeyse üçe katlandı. Bu koşullar altında Amerika'nın notunun da gündeme geleceğini iddia edebiliriz. Cin şişeden çıktı.
S&P says US debt outlook “negative”
By Jamie Chisholm, Global Markets Commentator
Published: April 18 2011 07:45 | Last updated: April 18 2011 14:32
Monday 14:30 BST. MARKET SNAPSHOT Sovereign debt fears are roiling global markets. News that S&P had revised its credit rating outlook for the United States to negative has caused stock futures to plunge, Treasury yields to move higher and gold to jump to a new record just shy of $1,500 an ounce.
The move has battered risk appetite in a market already worried by a deterioration in the eurozone bond markets. This follows rumours of a possible Greek debt restructuring and after an anti-euro party gained ground in the Finnish general election, raising questions about whether the bloc will be able to agree a bail-out for Portugal.
EDITOR’S CHOICE
Video: Finn de de siècle? - Apr-18
Spain pays up as contagion fears return - Apr-18
Eurozone debt concerns weigh on euro - Apr-18
In depth: Portugal bail-out - Apr-08
In depth: Greek debt crisis - Mar-08
In depth: Eurozone in crisis - Apr-17
The FTSE All World index is down 1.4 per cent and the S&P 500 on Wall Street has opened with losses of 1.2 per cent as traders worry that any sustained move higher in US bond yields, should investors flee the sector, will choke off recovery in the world’s biggest economy.
Salim Kasap/Turkish Yatırım