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Global Sovereign Debt Yields Surge to Multi-Decade Peaks Amid Geopolitical Instability

cnbc · 2026-09-01

US10Y, JP10Y, JP2Y, UK10Y, UK30Y, DE10Y, DE2Y, FR2Y, @LCO.1, @CL.1, @LCO26X, @LCO27G

Government bond yields across the U.S., U.K., and Japan hit multi-year highs as escalating Middle East tensions drive inflation fears and energy prices.

What Happened

Global Yield Surge: Government bond markets experienced significant volatility as yields in the U.S., U.K., and Japan reached levels not seen in decades. The U.S. 10-year Treasury note climbed to a 20-month high of 4.7880%, while Japan's 10-year benchmark hit 3% for the first time since 1996.

Geopolitical Inflation Drivers: Renewed hostilities in the Middle East, specifically around the Strait of Hormuz, have triggered a sharp rise in energy costs. Brent crude prices jumped over 2% to $92.38 per barrel, fueling investor concerns that renewed inflationary pressures will keep borrowing costs elevated.

Policy and Deficit Concerns: Treasury Secretary Scott Bessent defended the U.S. bond market's performance despite the rising yields, citing the recent reaffirmation of the nation's AA+ credit rating. However, market analysts like Steve Englander warned that structural deficit problems persist globally, suggesting that upward pressure on yields is likely to continue.

Regional Economic Context: In the U.K., Gilt yields surged to levels unseen since the 2008 financial crisis as the government considers new public ownership legislation for utilities. Meanwhile, European benchmarks, including German Bunds, also hit 52-week highs, reflecting a broad-based repricing of sovereign debt risk across major developed economies.

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