Turkish Bourse in Foreign Media: Liquidation of 130 Funds and Manipulation Investigation
📊 GOOGL — Piyasa Yorumu
■ neutral · 60%The news headline is not directly related to GOOGL but points to a development concerning the Turkish stock market. Therefore, its short-term impact on GOOGL is expected to be limited. Technical indicators are giving mixed signals: RSI at 58.5 is in neutral territory, MACD is slightly below the signal line, and the price is just above the 20-day moving average. The change over the last 24 hours can be considered flat. The overall outlook is neutral, as the news is not a stock-specific catalyst.
📊 GARAN — Piyasa Yorumu
▼ down · 60%The news includes the liquidation of 130 funds and a manipulation investigation into the Turkish stock market; such regulatory and legal developments could undermine market confidence in the short term and create selling pressure. GARAN stock closed at 130.8 TL, down 1.28% in the last 24 hours, but the RSI at 55 is in neutral territory and MACD is positive above the signal line. The price is above the SMA20 (128.3) but very close to the SMA50 (130.37); there is a risk of slipping below this level. Due to the news, a downward movement is possible in the short term, but technical indicators do not yet give a strong bearish signal. Therefore, I evaluate the downside with only moderate confidence.
📊 AKBNK — Piyasa Yorumu
▼ down · 55%The news involves the liquidation of 130 funds and a manipulation investigation into the Turkish stock exchange; such regulatory and legal uncertainties could dampen risk appetite in the short term. AKBNK shares closed down 1.26% at 70.65 TL in the last 24 hours, but the RSI at 55 is in neutral territory and MACD is above the signal line, indicating positive momentum. The price is above the SMA20 (69.01) but very close to the SMA50 (70.43), suggesting short-term directional uncertainty. The direct impact of the news on the banking sector may be limited; however, deterioration in overall market sentiment could create selling pressure. Therefore, in the 1-3 day outlook, I assess that downside risk has slightly increased, but technical indicators have not yet produced a strong bearish signal.