Asian share markets experienced a general decline on Monday. This downturn was primarily driven by growing skepticism regarding the Middle East peace process. Consequently, oil prices and bond yields saw an upward trend. These market shifts led investors to anticipate a higher risk of increased US interest rates. The combination of geopolitical instability and economic uncertainty pressured regional equities. Investors reacted to the volatile environment by pricing in additional risk. Overall, the session reflected a cautious sentiment across the Asian financial landscape.
