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Stocks Tread Carefully as Middle East Conflict and Rising Bond Yields Weigh on Sentiment

Finance · Major Banks · globe_inside_market · 2026-08-31

Global equities remain cautious as oil prices climb amid U.S.-Iran hostilities and bond yields in Japan and Germany reach multi-year highs.

What Happened

Escalating Middle East Tensions: Oil prices have jumped 2% following renewed military strikes between the U.S. and Iran, specifically targeting infrastructure in the Strait of Hormuz. This geopolitical instability is fueling concerns regarding energy supply security and its subsequent impact on global inflation.

Central Bank Policy Shifts: Following hawkish commentary from Fed Chair Kevin Warsh, markets have increased the likelihood of a September rate hike to 57%. Meanwhile, bond yields in Japan and Germany have hit multi-year highs, reflecting a broader trend of rising borrowing costs as central banks signal a commitment to curbing persistent inflation.

Economic Data Focus: Investors are looking ahead to upcoming U.S. payroll reports and consumer price data to gauge the Fed's next move. While Chinese manufacturing shows signs of stabilization, services sector growth remains subdued, adding to the complex global economic outlook.

Currency and Market Volatility: The Japanese yen remains a focal point for intervention speculation as it trades past 160 per dollar, though U.S. officials suggest current movements are contained. Gold has seen a monthly gain despite recent pullbacks, as investors continue to navigate the intersection of geopolitical risk and shifting interest rate expectations.

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