Treasury yields
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Nasdaq futures wobble after the AI rally needs confirmation
U.S. index futures eased after a chip-led rally, with Middle East risk, rates and earnings expectations all competing for traders’ attention.
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Oil relief does not remove the rate-risk trade from futures markets
New York Fed President John Williams expects energy prices to ease, but July rate uncertainty still matters for stock, dollar and commodity futures.
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The 30-year Treasury auction is a duration test for stock and futures traders
A long-bond yield above 5 percent changes the way equity traders should read tech rallies, gold strength, oil shocks, and index-futures risk.
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US stock rebound shows why traders should watch oil and Treasury yields together
The July 9 rebound in major U.S. indexes came as oil backed off and Treasury yields eased, turning a geopolitical shock into a cross-asset signal.
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Gold futures traders should separate safe-haven demand from rate risk
Gold remains a headline hedge, but traders still need to track the dollar, Treasury yields, contract size and stop placement.
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Index futures traders should test the oil and yield relief rally
The July 9 U.S. equity rebound came with lower oil prices and retreating Treasury yields, so futures traders should confirm whether macro pressure has really eased.
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Long bond auctions are a live risk signal for index futures traders
The 30-year Treasury auction, oil prices, and equity-index futures are tied together when geopolitical risk feeds inflation concerns.
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Oil and yields are turning index futures into a sector-rotation test
U.S. futures bounced after the Iran shock, but energy, transports, banks and AI leaders now send different signals for short-term traders.
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Fed minutes, yields and AI debt make index futures an event-risk trade again
Treasury yields stayed elevated after Fed minutes, jobless claims are on the calendar, and AI financing is becoming a rates story. Index-futures traders should separate trend from event risk.
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A crowded long-dollar trade is now a macro risk signal for gold, FX and index traders
MarketWatch reports that dollar bullishness has reached the strongest level in a decade. The setup matters for gold, emerging markets, multinational earnings and crypto liquidity because the same rate-and-oil story is moving several assets at once.