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60/100 Neutral 20.07.2026 · 07:17 Finrend AI ⏱ 1 dk 👁 3 TR

Gulf Markets Mixed: Impact of US‑Iran Tension

The main Gulf exchanges exhibited a mixed performance amid uncertainty stemming from escalating tensions between the United States and Iran. While some indices posted modest gains, others declined. Short‑term risk sentiment rose, particularly due to potential impacts on oil prices. Regional investors reassessed their positions, concerned that geopolitical developments could directly affect supply balances and energy markets. Overall market performance mirrored the volatility in global risk appetite, with fluctuations in U.S. and European markets reverberating in the Gulf. Investors continue to closely monitor regional developments. As the long‑term effects of the U.S.‑Iran tension remain unclear, markets remain in a state of uncertainty. This is not investment advice.

📊 GOOGL — Piyasa Yorumu

▼ down · 55%

The US-Iran tension is increasing the risk-off sentiment, creating uncertainty in the markets in the short term. GOOGL experienced a decline of over 5% within 24 hours and its price is below the 20- and 50-day moving averages. The RSI is 43, not near the oversold zone, but the MACD is negative and below the signal line, supporting the short-term downward pressure. Although geopolitical developments may not directly impact the technology sector, the general risk sensitivity can slightly pull down GOOGL. Therefore, a slight decline is expected in the 1-3 day period, but a significant move is not anticipated.

RSI 14
43.3
MACD
-2.47
24h Δ
-5.33%
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