Stocks, Bonds Climb as Oil Falls on US-Iran Hopes: Markets Wrap
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59 trends tracked about this subject — the full history, oldest to newest below.
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The 10-year Treasury faces its worst run in over a century while investors weigh historic yields and potential market impacts.
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Financial markets react as the Federal Reserve implements a rate hike and signals potential future increases.
Apollo cautions that surging hyperscaler debt is signaling a warning sign as Big Tech issues billions in bonds.
US Treasury Secretary hails the government's bond buyback a success as financial officials confront bond market pressures.
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Financial markets react as the 10-year Treasury yield touches 5 percent, marking the highest level seen in years.
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Bond markets are experiencing volatility and rising yields as investors anticipate the release of August inflation data.
Investors are pivoting to alternative income streams as a brutal drawdown impacts traditional bonds despite the availability of higher yields.
A global bond selloff has pushed 10-year US Treasury yields toward 5% as rising oil prices fuel stagflation and rate-hike fears.
Treasury yields approach 5% following market movements linked to oil, buyback results, and a dividend pledge.
Treasury yields have surged as a poor 30-year auction and an expanded debt buyback operation failed to stabilize the bond market.
Treasury bond buyback operations prompt market reactions as yields rise following lower-than-expected purchases.
US Treasury Secretary Scott Bessent is clashing with the $32 trillion bond market, dismissing critics as 'Bloomberg Terminal bros' in a high-stakes power struggle.
Brent oil climbs past the $100 threshold, pulling Wall Street lower and pushing crude prices back to May levels.
The 10-year Treasury yield has climbed to its highest level since 2023, persisting despite a $6 billion bond buyback plan proposed by Bessent.
US Treasury Secretary Bessent signals a shift in market dominance while tripling long-dated debt buybacks to $6 billion.
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U.S. Treasury yields are approaching critical thresholds as investors weigh fiscal risks against a current appetite for risk assets.
Global bond markets are experiencing a significant selloff, sparking concerns over potential knock-on effects and instability in emerging markets.
Bank of America issues a critical warning regarding severe buy-sell imbalances and potential downturn selling pressure in U.S. stocks.
Global bond markets experience rising instability and higher yields, prompting expert analysis and market-wide examination.
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Japan's escalating bond rout draws global focus as yields cross multi-decade highs and impact the United States market.
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Stock futures hover unchanged as Wall Street slides for a third day, while Iran tensions and looming jobs data dominate markets
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Bond yields are falling following reports that the Treasury may utilize its General Account for buybacks, as Bessent calls for market patience.
Treasury buybacks double as yields surge, prompting statements on potential further increases to lower long-term rates.
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Treasury yields hover near 4.7 percent as Wall Street questions upcoming policies and watches for a potential market breakout.
NYSE parent Intercontinental Exchange reaches a deal to acquire bond platform MarketAxess for approximately six billion dollars.
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Oil hovers at $100 a barrel as Iran tensions fuel market swings and AI stocks tumble.
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New research reveals that Einstein's theory of special relativity warps chemical bonds, particularly within heavy elements.
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Investors are bracing for a high-volatility week centered on U.S. inflation data, China's GDP, and the start of corporate earnings season.
Amazon's $25 billion AI bond sale fuels a surge in AI‑related debt markets.
Amazon re‑enters the US bond market with a $25 billion multi‑tranche offering to fund its AI infrastructure build.
Recent economic data releases concerning jobs and inflation are driving positive sentiment for the bond market.
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Investors are recalibrating fixed-income strategies as markets prepare for a new Federal Reserve era under Kevin Warsh.
SpaceX experiences stock market volatility following the announcement of a $25 billion bond offering.
SpaceX has initiated its debut bond sale to raise $20 billion shortly after completing a record initial public offering.
Nvidia has launched a $20 billion high-grade bond offering, marking the chipmaker's return to the corporate debt market after five years.