Commerzbank rates strategists maintain a cautious stance on bond duration as yields struggle to range-bind. The bank notes that crude oil prices remain under persistent pressure alongside a laissez-f…
Longview Economics warned that the S&P 500 faces a potential selloff over the next one to four months, downgrading equities to neutral. Strategist Chris Watling highlighted six vulnerabilities: exhau…
U.S. private job growth slowed to 38,000 in August, softening Federal Reserve rate hike expectations and allowing Wall Street futures and indices like the S&P 500 to hold modest gains despite global …
Rising bond yields sparked a temporary pullback across Big Tech and AI hyperscalers. However, market analysts assert that the tech retracement is overextended, emphasizing that the multi-year AI expa…
Bitcoin fell over 1% to $62,689 amid rising ETF outflows, higher bond yields, and Middle East tensions, though Fed pause expectations rose slightly, limiting downside pressure.
S&P 500 hit record highs amid low VIX and complacent options market, but analysts warn hidden risks are building. Rising bond yields, Fed independence concerns, and historically weak September season…
Gold has fallen over $1,000 from January's peak due to Middle East conflict, rising oil prices, higher bond yields, and profit-taking after 2025's rally. Experts see this as a healthy correction, for…
Altcoins show early signs of a rally like late 2020, with Bitcoin dominance slipping and potential for a major altcoin surge in 2026, signaling rotation from Bitcoin to higher-risk crypto assets.