Bonds

15 June 2026
Dollar index slips as US-Iran deal cools haven demand and pares Fed rate-hike bets

DXY dips near 99.50 as US-Iran deal eases safe-haven demand, lowers inflation, rate-hike odds.

15 June 2026
New Zealand services slowdown deepens as PSI slips to 47.5, fuelling RBNZ rate-cut expectations

New Zealand services activity weakened again as PSI fell to 47.5, boosting rate-cut expectations and pressuring NZD.

13 June 2026
US Five-Year Inflation Expectations Fall to 3.4%, Bolstering Case for Federal Reserve Rate Cuts

Consumers’ five-year inflation expectations fell to 3.4% in June, boosting dovish Fed hopes and trades.

13 June 2026
University of Michigan expectations beat forecasts as inflation and jobs data reinforce higher-for-longer Fed stance

Michigan consumer expectations jumped to 49.3 in June, beating forecasts, bolstering spending outlook and higher-rate bets.

12 June 2026
Argentina May CPI Miss Fuels Bets on Faster Rate Cuts, Supporting Bonds and Equities

Argentina’s May CPI rose 2.1%, below forecasts, accelerating disinflation expectations and boosting bullish views on bonds.

12 June 2026
US 30-year bond auction yield slips to 5.02%, feeding expectations of Fed easing later in 2026

Treasury’s 30-year auction cleared at 5.02%, signaling firmer demand, cooling data, and potential Fed easing ahead.

12 June 2026
US four-week Treasury bill yield slips to 3.595% as investors seek short-term safety

Four-week T-bill yield dipped to 3.595%, signaling modest risk-off demand and growing expectations of Fed cuts.

12 June 2026
ING sees Bank of Japan June rate rise, steady bond taper and yen support build-up

ING expects BoJ to hike 25bp in June, tightening further as inflation risks persist; yen and yields rise.

12 June 2026
ECB lifts rates 25bp as Lagarde flags downside growth risks, backing euro and hedging plays

ECB hikes 25bp; Lagarde flags downside growth risks and upside inflation risks, favoring defensive equities, euro, volatility.

11 June 2026
US jobless claims top forecasts, fuelling doubts over labour resilience and complicating Fed rate outlook

Jobless claims hit 229,000, signaling labor cooling, complicating Fed decisions, and boosting volatility, bonds, hedging strategies.

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