{"id":72303,"date":"2026-09-27T20:38:13","date_gmt":"2026-09-28T00:38:13","guid":{"rendered":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/boj-minutes-signal-potential-for-faster-rate-hikes-amid-rising-inflation-risks\/72303\/"},"modified":"2026-09-27T20:38:13","modified_gmt":"2026-09-28T00:38:13","slug":"boj-minutes-signal-potential-for-faster-rate-hikes-amid-rising-inflation-risks","status":"publish","type":"post","link":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/boj-minutes-signal-potential-for-faster-rate-hikes-amid-rising-inflation-risks\/72303\/","title":{"rendered":"BOJ Minutes Signal Potential for Faster Rate Hikes Amid Rising Inflation Risks"},"content":{"rendered":"<h2>Key Takeaways<\/h2>\n<ul>\n<li><strong>Bank of Japan (BOJ) policymakers<\/strong> are considering accelerating the pace of interest rate increases, with some members warning that <strong>inflation risks<\/strong> could cause &quot;significant harm&quot; to the economy.<\/li>\n<li><strong>Foreign exchange volatility<\/strong> is having a more pronounced impact on Japanese prices than in the past, as companies increasingly pass through rising import costs to consumers.<\/li>\n<li><strong>U.S. President Donald Trump<\/strong> rejected a ceasefire proposal from <strong>Iran<\/strong> over the weekend but signaled that indirect negotiations are expected to resume this week through Qatari mediators.<\/li>\n<li><strong>Asia-Pacific markets<\/strong> saw a mixed start to the trading week, with the <strong>Nikkei 225<\/strong> (<a href=\"\/stock\/%5ENI225\">^NI225<\/a>) rising <strong>0.9%<\/strong> while South Korea&#39;s <strong>KOSPI<\/strong> (<a href=\"\/stock\/%5EKS11\">^KS11<\/a>) fell <strong>0.7%<\/strong>.<\/li>\n<li><strong>U.S. Secretary of State Marco Rubio<\/strong> is scheduled to meet with the <strong>Saudi Foreign Minister<\/strong> on Monday morning to discuss regional security and defense commitments.<\/li>\n<\/ul>\n<h2>BOJ Minutes Reveal Hawkish Shift<\/h2>\n<p>Minutes from the <strong>Bank of Japan\u2019s<\/strong> recent monetary policy meeting indicate a growing consensus that the bank may need to move more aggressively on interest rates. While several members noted the difficulty in anticipating the exact timing of future hikes, one member explicitly stated the bank must <strong>speed up rate increases<\/strong> to mitigate upside inflation risks. This hawkish tone follows the BOJ&#39;s September decision to lift the overnight call rate to <strong>1.25%<\/strong>, its highest level since 1995.<\/p>\n<p>The board highlighted that <strong>underlying inflation<\/strong> is nearing the <strong>2% target<\/strong>, shifting the policy focus toward stabilizing price growth rather than stimulating it. Many members observed that medium- and long-term inflation expectations are rising among both households and corporations. Consequently, the bank is under pressure to signal its focus on <strong>upside risks<\/strong> more clearly to prevent markets from doubting its commitment to adequate tightening.<\/p>\n<h2>Currency Volatility and Import Costs<\/h2>\n<p>A significant concern for the BOJ is the increased sensitivity of the Japanese economy to <strong>FX volatility<\/strong>. Policymakers noted that firms are now more inclined to pass on rising import costs to consumers, a &quot;sea change&quot; in corporate behavior. The combination of a <strong>weak yen<\/strong> and geopolitical tensions in the <strong>Middle East<\/strong> has the potential to further boost inflation expectations, prompting some members to call for a more &quot;nimble&quot; response to shifting conditions.<\/p>\n<p>Market participants are currently pricing in a gradual normalization, with expectations of a hike roughly once every six months. However, the minutes suggest that <strong>term premia<\/strong> could increase if the market perceives the BOJ as being behind the curve. Former board members have suggested that rates could reach <strong>2% by June 2027<\/strong> if inflationary pressures persist.<\/p>\n<h2>Geopolitical Tensions and Market Reaction<\/h2>\n<p>On the geopolitical front, <strong>U.S. President Donald Trump<\/strong> has maintained a firm stance against <strong>Iran<\/strong>, rejecting a proposal for a seven-day truce and the reopening of the <strong>Strait of Hormuz<\/strong>. Despite the rejection, Trump expressed optimism that talks would resume this week, stating, &quot;They want to make a deal, but it is not the deal that I want to make.&quot; The U.S. continues to maintain a naval blockade while facilitating some oil shipments, with reports indicating <strong>22 million barrels<\/strong> transited the strait over the weekend.<\/p>\n<p>In the U.S., <strong>Secretary of State Marco Rubio<\/strong> is set to meet with the <strong>Saudi Foreign Minister<\/strong> at 11:15 AM ET on Monday. The meeting follows Rubio\u2019s recent reaffirmation of U.S. defense commitments to <strong>Saudi Arabia<\/strong> amid ongoing threats from regional proxies. These diplomatic maneuvers are being closely watched by energy markets, as any breakthrough or breakdown in talks directly impacts the global oil risk premium.<\/p>\n<h2>Regional Market Performance<\/h2>\n<p>Asian equity markets opened the week with a bifurcated performance. Japan&#39;s <strong>Nikkei 225<\/strong> (<a href=\"\/stock\/%5ENI225\">^NI225<\/a>) gained <strong>0.9%<\/strong>, buoyed by the BOJ\u2019s cautious yet steady path toward normalization. In contrast, South Korea&#39;s <strong>KOSPI<\/strong> (<a href=\"\/stock\/%5EKS11\">^KS11<\/a>) slipped <strong>0.7%<\/strong>, and Australia&#39;s <strong>ASX 200<\/strong> (<a href=\"\/stock\/%5EAXJO\">^AXJO<\/a>) saw a modest gain of <strong>0.2%<\/strong>. Investors remain focused on the <strong>U.S. rate path<\/strong> and the outcome of this week&#39;s indirect negotiations between Washington and Tehran.<\/p>\n","protected":false},"excerpt":{"rendered":"<p>Key Takeaways Bank of Japan (BOJ) policymakers are considering accelerating the pace of interest rate increases, with some members warning 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