U.S. producer prices accelerated to 5.4% year-over-year in August, beating forecasts and lifting expectations for a Fed rate hike to 66%. Major stock indices dropped, with the Dow falling 0.5% as Tre…
US equities dropped for a third consecutive session as 10-year Treasury yields surged to 4.84%. Concurrently, escalating US-Iran tensions pushed Brent crude above $101 and WTI above $96, raising infl…
Wall Street indices dropped as surging Treasury yields and Brent crude topping $101 pressured equities. Despite expanded US Treasury buybacks, the 10-year yield hit 4.85%. Escalating geopolitical ten…
Treasury yields spiked after a $6 billion debt buyback disappointed market expectations, with 30-year yields topping 5.3%. Meanwhile, Brent crude broke $100 per barrel following Iranian attacks on ve…
August nonfarm payrolls crushed expectations at 162,000, boosting expectations for a 25 bps Fed rate hike. Higher yields weighed on U.S. equity indexes, gold, and crypto assets, while renewed U.S.-Ir…
A blowout U.S. jobs report drove Treasury yields higher and renewed Fed rate-hike bets, pressuring equities and sending gold down 1.4%. Meanwhile, memory stocks surged despite macro headwinds as acut…
U.S. August nonfarm payrolls surged by 162,000, crushing expectations and driving CME FedWatch rate hike odds to 60.2%. Rising Treasury yields triggered a sharp selloff across non-yielding assets, ca…
The US dollar strengthened as soaring Treasury yields, hawkish Fed remarks, and a 5% surge in WTI crude oil boosted rate hike expectations. Consequently, EUR/USD retreated, USD/JPY reached one-month …
U.S. stock futures tumbled as escalating military conflict with Iran drove WTI crude to $88 per barrel. Rising energy prices and surging Treasury yields have reignited inflation fears, weighing heavi…
Escalating war tensions and surging Treasury yields drove major US stock indices down. Oil prices surged over 5% on geopolitical conflict, while gold and silver tumbled under pressure from a rising d…
U.S. stock futures dropped and crude oil surged following fresh U.S. military strikes on Iranian targets near the Strait of Hormuz. Escalating geopolitical conflict pushed Brent above $95 and WTI pas…
Surging global bond yields and negative cash flows are pressuring debt-heavy tech companies. As 30-year Treasury yields near 20-year highs and oil prices climb amid geopolitical tensions, broad marke…
US equities fell midday as rising crude oil prices and spiking 18-month benchmark bond yields weighed on markets amid escalating Iran geopolitical tensions. Tech, semiconductors, and precious metals …
Surging 10-year Treasury yields to 4.8% triggered sharp selloffs across Bitcoin miners and AI infrastructure stocks, with IREN down 4% and Cipher Mining dropping 6%. Higher borrowing costs strain cap…
Speculative drone stocks tumble as rising Treasury yields and soaring oil prices trigger broad risk-off sentiment across equities. Brent crude topped $91 per barrel following Middle East geopolitical…
U.S. 10-year Treasury yields jumped to 4.76% as rising oil prices and hawkish Fed commentary lifted September rate hike probabilities to 66.4%. Brent crude climbed 2.5% to $92.75, compounding inflati…
Rising 10-year Treasury yields reaching 4.78% and surging oil prices past $91 amid Middle East tensions trigger broad risk-off sentiment. High-beta, speculative tech, and equity indices face heavy pr…
Treasury Secretary Scott Bessent defended his bond-buyback strategy against Stanley Druckenmiller's criticism while highlighting severe economic pressure on Iran. Escalating U.S.-Iran hostilities hav…
Surging 30-year Treasury yields to 5.3% on inflation fears and AI-driven corporate debt competition are causing a major selloff in equities. While some investors buy the dip in long-term bond ETFs, m…