Tag #Bond Market

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smh.com.au
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Weak Demand in Japanese Bond Auctions Forces BoJ to Rethink Strategy

Weak demand in recent Japanese 20 and 40-year bond auctions has sent yields soaring, forcing the Bank of Japan to rethink its debt issuance strategy amid global economic uncertainty stemming from Trump's trade policies and reduced demand from major investors.

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48% Bias Score

Reduced Inequality
dailymail.co.uk
🌐 85% Global Worthiness
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House Passes Controversial Bill, Sparking Fears of Bond Market Crisis

The House narrowly passed the "One Big Beautiful Bill Act," increasing the federal debt by $3-5 trillion over 10 years, sparking concerns about a bond market crisis and contradicting President Trump's prior promises of debt reduction.

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64% Bias Score

Reduced Inequality
npr.org
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Sell America Trade: US Bond Sell-off Triggers Market Volatility

On Wednesday, the Dow dropped almost 2% as investors sold off U.S. government bonds, pushing yields above 5%, reflecting concerns about a near-$2 trillion national deficit, Moody's downgrade, and the impact of President Trump's tariffs.

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56% Bias Score

Reduced Inequality
nbcnews.com
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Weak US Bond Auction, GOP Spending Bill Trigger Global Market Plunge

A weak US government bond auction, driven by fears of a global borrowing glut exacerbated by the GOP's proposed spending bill, sent markets plummeting, with the S&P 500 down 1.6%, the Dow Jones down over 800 points, and the Nasdaq down 1.4%, reflecting investor concerns about higher interest rates.

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56% Bias Score

Reduced Inequality
cnn.com
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Trump's Tax Cut Plan: Economic Stimulus or Debt Crisis?

President Trump's proposed tax cuts, which include extending the 2017 Tax Cuts and Jobs Act and adding potential cuts on tips, overtime, and Social Security, are under debate by lawmakers, potentially boosting consumer spending but also increasing the deficit and impacting interest rates; economists...

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40% Bias Score

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forbes.com
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Longer-Duration Bonds Underperform Amidst Inflation and Market Volatility

Increased inflation, higher bond market volatility, and reduced foreign demand for U.S. Treasuries are causing longer-duration bonds to significantly underperform, leading investors to favor shorter-term bonds.

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40% Bias Score

Reduced Inequality
theglobeandmail.com
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Surge in Treasury Term Premium: A Contrarian Investment Thesis

The U.S. Treasury market's term premium has spiked to an 11-year high due to fiscal policy uncertainty, pushing the 10-year T-note yield to 4.5%, despite stable inflation and growth; this contrasts with previous similar spikes that often preceded recessions.

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44% Bias Score

Reduced Inequality
forbes.com
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Unexplained Surge in Treasury Yields Defies Conventional Explanations

Treasury yields unexpectedly jumped from 4.38 on May 11th to 4.5090 on May 23rd, defying explanations based on known factors like Moody's downgrade, the national debt, or the Trump tax cuts, suggesting the presence of unknown market-moving information.

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64% Bias Score

Reduced Inequality
us.cnn.com
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Weak US Bond Auction Signals Investor Concerns Over Rising Debt

Weak demand for US Treasury bonds during Wednesday's auction, the lowest since February, signals investor concerns about the US government's debt levels following the recent tax cuts, leading to higher yields and potential risks for future social programs.

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48% Bias Score

Reduced Inequality
theglobeandmail.com
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Rising U.S. Debt Fuels Bond Market Volatility

Rising U.S. government debt, fueled by tax cuts and tariff volatility, is causing increased Treasury yields, impacting borrowing costs and potentially slowing economic growth; investors are increasingly concerned about the sustainability of the debt trajectory.

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56% Bias Score

Reduced Inequality
forbes.com
🌐 85% Global Worthiness
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Market Volatility Highlights Divergence in Asset Classes

This week's market saw a short-lived stock surge following a tariff pause, but the simultaneous decline in government bonds and the US dollar, coupled with a gold price increase, indicates investors are moving away from US assets due to uncertainty surrounding US policy.

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48% Bias Score

Reduced Inequality
theglobeandmail.com
🌐 85% Global Worthiness
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Global Bond Market Turmoil Impacts Canada, but Rate Cuts Offer Potential Relief

Rising U.S. Treasury bond yields, fueled by tariff-induced inflation concerns, caused global market turbulence, impacting Canadian bonds and dividend stocks; however, potential Bank of Canada rate cuts offer a mitigating factor.

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32% Bias Score

Decent Work and Economic Growth

Showing 13 to 24 of 45 results