{"id":68712,"date":"2026-09-23T01:51:43","date_gmt":"2026-09-23T01:51:43","guid":{"rendered":"https:\/\/www.vtmarkets.com\/en-mena\/uncategorized\/treasury-buybacks-and-fed-rate-rise-fail-to-lift-silver-as-yields-and-oil-dominate\/"},"modified":"2026-09-23T01:51:43","modified_gmt":"2026-09-23T01:51:43","slug":"treasury-buybacks-and-fed-rate-rise-fail-to-lift-silver-as-yields-and-oil-dominate","status":"publish","type":"post","link":"https:\/\/www.vtmarkets.com\/en-mena\/live-updates\/treasury-buybacks-and-fed-rate-rise-fail-to-lift-silver-as-yields-and-oil-dominate\/","title":{"rendered":"Treasury buybacks and Fed rate rise fail to lift silver as yields and oil dominate"},"content":{"rendered":"<p>US Treasury buybacks of long-dated bonds and the Federal Reserve\u2019s September rate rise failed to steer markets in the expected direction, as silver tracked long-term yields and oil rather than deficit maths. On 22 September, silver traded at $65.38 an ounce versus gold at $4,322.95, putting the gold-silver ratio at 66.1; that was 4.5% higher than on 16 September, when the Fed lifted its policy rate by a quarter point to a 3.75% to 4.00% range and pencilled in a median of one more rise this year. Silver remained about 8% down for 2026 and roughly 46% below its January peak of $121.58, even as the 10-year yield slipped back under 5% and Brent eased from above $105 towards $104 on reports Saudi Arabia was restoring its East-West pipeline.<\/p>\n<p>The Treasury\u2019s first enlarged operation on 10 September bought $5.2 billion of 10- to 20-year maturities against a $6.0 billion cap, yet the 30-year yield moved from 5.196% on the August announcement day to 5.353% by 14 September, while the 10-year touched 5% for the first time since 2023 and silver fell 4.8% over two weeks. Fiscal data worsened, with the deficit at $1,966 billion over the first 11 months and interest on the debt topping $1 trillion, but yields were driven by hotter core inflation and oil; the 2-year yield rose about 30 basis points. Dealers offered $10.5 billion into the operation, and the mechanics relied on issuing short-term bills while the Fed\u2019s bill purchases were zero since mid-August; after the 16 September hike, the 10-year retreated to about 4.93% by 18 September. The enlarged buybacks run through 4 November.<\/p>\n<h3>Market Dynamics and Hedging Strategies for Derivative Traders<\/h3>\n<p>We advise derivative traders to focus their attention on long-term Treasury yields and Brent crude oil futures rather than tracking the federal deficit over the coming weeks. The current market dynamics reveal a strong negative correlation between silver and the 10-year Treasury yield, which has historically tightened to around -0.7 during periods of monetary transition. With the 10-year yield hovering near the critical 5% threshold, positioning in silver options should be directly hedged against fluctuations in the bond market.<\/p>\n<p>Our analysis shows that Brent crude&#8217;s movement, recently fluctuating between $104 and $105 per barrel, is acting as the primary driver of inflation expectations and long-term yields. Historically, a 10% sustained rise in energy prices tends to push 10-year breakeven inflation rates up by 15 to 20 basis points within weeks, prompting immediate pressure on precious metals. We recommend using short-term oil options to anticipate these sudden shifts in long bond yields before executing silver derivative trades.<\/p>\n<h3>Exploiting Buybacks and Volatility in Silver Options<\/h3>\n<p>The Treasury\u2019s enlarged buyback program, which runs until November 4, provides a unique window to exploit mispricings in silver call and put options. Because these buybacks do not inject new liquidity into the financial system, any temporary dip in yields presents a prime buying opportunity for short-dated silver call options. We expect volatility to compress as we approach the November checkpoint, meaning traders should look to buy premium on sharp yield spikes.<\/p>\n<p>Even though the Federal Reserve recently raised its policy rate to a range of 3.75% to 4.00%, derivative traders must recognize that the market has already priced in these short-term adjustments. Historical data shows that when the Fed nears the end of its tightening cycle, long-term yields often decouple from policy rates and follow economic growth and energy inputs instead. We suggest structuring long-volatility strategies, such as straddles on silver futures, to capture the sharp price swings expected when this decoupling fully manifests.<\/p>\n\n\n\n<p class=\"wp-block-paragraph\"><b>Start trading now \u2014 click <a href=\"https:\/\/www.vtmarkets.com\/en-mena\/trade-now\/>here<\/a> to create your real VT Markets account.<\/b>\n\n<\/p>","protected":false},"excerpt":{"rendered":"<p>Treasury buybacks and Fed hike failed; silver tracked long yields and Brent, not deficits, shaping trades.<\/p>\n","protected":false},"author":87,"featured_media":50574,"comment_status":"open","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"footnotes":""},"categories":[71],"tags":[],"class_list":["post-68712","post","type-post","status-publish","format-standard","has-post-thumbnail","hentry","category-live-updates"],"acf":{"acf_article_selection_author":null},"aioseo_notices":[],"aioseo_head":"\n\t\t<!-- All in One SEO Pro 5.0.1.1 - 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