Gorev pointed to European sovereign debt markets as a pressure point that is building quietly in the background. “The interest rates on the 10-year bonds of France and Germany have updated their 15-year highs,” he remarked. “Given the current levels of debt and budget deficits, and the share of budget expenditures on debt servicing, rising interest rates are very dangerous for these countries.”
FAQ What caused U.S. stocks to fall on March 26, 2026? Escalating U.S.-Iran tensions drove oil prices higher, pushed the VIX to 27.44, and triggered broad selling in equities, tech, and crypto. Why did Bitcoin hold up better than stocks and gold during Thursday’s selloff? Analysts say spot ETF inflows and capital leaving Persian Gulf countries via crypto purchases helped support Bitcoin’s price near $69,000. Why did gold fall during a geopolitical risk event? Gold dropped roughly 3% despite Middle East tensions, likely due to profit-taking and U.S. dollar strength outweighing typical safe-haven demand. What does rising European bond yield data mean for global markets? French and German 10-year yields hitting 15-year highs signal growing debt stress that analysts warn could escalate into a pan-European fiscal crisis.VIX Jumps to 27 as $1 Trillion Leaves US Stock Markets on Iran Oil Shock
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