Treasury yields
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Oil and Treasury yields are the macro pair index-futures traders need to track after the Dow’s slide
A sharp Dow decline, higher oil and rising Treasury yields made the latest session a macro stress test for index-futures traders rather than a simple equity pullback.
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Oil’s two-week high turns U.S.-Iran headlines into an index-futures risk test
Crude oil’s jump after renewed U.S.-Iran tension gives stock-index futures traders a live test of inflation, rates and energy-risk assumptions.
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Gold’s pullback shows why safe-haven trades still need a dollar and yield check
Gold can rise on stress, but traders still have to monitor the U.S. dollar, Treasury yields and Fed-rate expectations before treating every dip as defensive demand.
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Oil and Treasury Yields Jump After Iran Waiver Revocation: Futures Risk Map
The U.S. cancellation of an Iran oil-sanctions waiver lifted crude and Treasury yields, creating a cross-asset setup for index, energy and FX traders.
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Chip Weakness, Higher Oil and Yields: Why Index Traders Should Watch More Than the Nasdaq Chart
A tech-led pullback can become a broader risk event when oil and Treasury yields rise at the same time.
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Oil and Treasury Yields Jump After Iran Sanctions Move, Pressuring Risk Assets
A fresh oil-price and bond-yield move gives stock and crypto traders a macro checklist: energy inflation, long-end yields, dollar strength and index breadth.
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Tech Futures, Oil and Yields: A Cross-Market Checklist for Stock Traders
Semiconductor weakness, firmer oil and higher long-end yields created a two-way futures setup where index traders need to watch more than the Nasdaq headline.
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The 30-Year Treasury Yield Back Above 5% Is a Macro Risk Test for Futures Traders
Long-end yields, oil and tech futures are moving together again, so traders should separate confirmed data from narrative risk.
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Gold, Oil and Treasury Yields Are Setting Up a Two-Way Fed Minutes Trade
With stock futures mixed, oil higher, gold softer and the 10-year yield near 4.5%, traders need a cross-market plan rather than a single headline view.
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Stock Futures Slip as Chip Momentum Cools and Oil Keeps Macro Traders Alert
Nasdaq futures weakness after a chip rally shows why index traders should track sector leadership, oil shocks, yields, and Fed-minutes risk together instead of reading one headline in isolation.