Market & Trading

Yields Jump, Stocks Slide, Gold Shines: Daily Market Recap – May 22 2025

YestClose 1D chg YTD chg YestClose 1D chg YTD chg Yields and Spreads (bps) Commodity DE10Y 2.65 4 27.9 Gold 3337.86 0.80% 27.19% BP10Y 4.76 5.4 18.9 Silver 33.52 0.90% 15.99% JP10Y 1.55 2.2 44.4 Copper 467.6 0.40% 14.27% AU10Y 4.5 0 14.1 Soybean 1053.75 0.90% 1.84% US10Y 4.59 11.2 2.2 Wheat 545.25 0.60% -4.26%…...

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Market & Trading

Mixed Yields and Fed Speakers Shape Markets Today

Today’s Brief US Treasury Market and Bond Yields The main factors influencing market trends included reactions to Moody’s downgrade of the U.S. credit rating, comments from Federal Reserve speakers, and expectations regarding future policy rate cuts. Geopolitical events, such as reports related to the SALT Caucus and potential deficit impacts based on interactions with President…...

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Market & Trading

Market Sees Mixed Equities, Soaring Nat Gas, and Rising Yields: Daily Market Recap – May 21, 2025

YestClose 1D chg YTD chg YestClose 1D chg YTD chg Yields and Spreads (bps) Commodity DE10Y 2.61 1.8 23.9 Gold 3289.29 1.90% 25.33% BP10Y 4.7 3.9 13.5 Silver 32.95 2.20% 13.99% JP10Y 1.53 1.6 43 Copper 466.9 -0.40% 14.08% AU10Y 4.42 0 6 Soybean 1056 0.20% 2.05% US10Y 4.49 4 -7.8 Wheat 548 3.20% -3.73%…...

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Market & Trading

Daily Market Recap (每日市場報告) – May 21, 2025

2025年5月20日,在連續六個交易日上漲後,美國股市小幅回落,而公用事業與醫療保健等防禦性板塊表現領先。由於即將舉行的20年期美國國債標售,美債殖利率小幅上升,這也是穆迪下調美國信評後首次發行長天期債券。零售財報(包括Home Depot的業績)成為投資人關注焦點。全球市場方面,歐洲股市因消費者信心改善而上漲,而亞洲市場則多數上揚,受惠於中國小幅降息所帶來的提振。 美股小幅回落,防禦型板塊領漲 週二,美國股市結束連續六天的漲勢,小幅回調。S&P 500 指數下跌 23.14 點,收在 5,940.46 點;道瓊工業指數下跌 114.83 點,至 42,677.24 點;那斯達克指數則下跌 72.75 點,報 19,142.71 點。在經濟數據相對平靜的背景下,投資人轉向防禦性板塊。公用事業與醫療保健領域表現優於大盤,而S&P 500 其他板塊多數持平或走弱。 美債殖利率小幅上升,市場關注即將到來的長債標售 在債券市場方面,10年期美國國債殖利率小幅上升,接近4.5%水準。市場參與者密切關注即將於5月21日舉行的20年期國債標售,這是穆迪調降美國信用評等後的首場長天期債券發行。此次標售將對長期美債的市場需求提供重要參考。 零售財報吸引投資人注意 隨著第一季財報季進入尾聲,零售企業的財報成為投資人判斷消費支出趨勢的關鍵指標。Home Depot 公布的銷售優於預期,但每股盈餘略低於預期。公司管理層表示,不會因關稅上調價格,並維持全年財測不變。接下來幾天,市場將密切關注Target、TJX、Lowe’s等零售巨頭的財報,以評估消費需求與關稅對價格的影響。 全球市場表現分歧,歐洲走強,亞洲普遍上揚 國際市場方面,歐洲股市因歐元區消費者信心指數略微改善而上漲。亞洲市場普遍上漲,受到中國近期將兩項主要貸款利率下調0.1個百分點的政策支持,提振投資情緒。 市場展望 展望未來,本週的零售財報將對消費支出趨勢與通膨壓力提供關鍵洞察。在全球方面,中國持續的政策寬鬆以及歐洲消費者信心改善跡象可能對股市形成支撐,但地緣政治與財政不確定性仍可能導致波動性維持高檔。在市場評估經濟成長與貨幣政策訊號之際,美債殖利率與防禦性板塊預計將持續受到關注。 On May 20, 2025, U.S. stocks pulled back slightly after six consecutive days of gains, with defensive sectors like utilities and healthcare outperforming. Treasury yields…...

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Market & Trading

Moody’s Downgrade and Key Events Shape Monday Markets

Today’s Brief US Treasury Market and Bond Yields End of Day US Treasury yields on Monday, May 19, 2025: Main factors influencing market trends include: Corporate bonds continue to outperform U.S. government securities. Economic Indicators and Events Monetary Policy and Economic Outlook Government and International Events For more information, check out BondWatch.ai… Membership Required You...

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Market & Trading

Markets See Mixed Trends Amidst Yield and Equity Shifts: Daily Market Recap

YestClose 1D chg YTD chg YestClose 1D chg YTD chg Yields and Spreads (bps) Commodity DE10Y 2.59 -0.2 22.1 Gold 3212.88 0.80% 22.43% BP10Y 4.66 1.5 9.6 Silver 32.23 0.20% 11.57% JP10Y 1.49 2.6 38.5 Copper 465.55 1.70% 13.73% AU10Y 4.47 0 11.3 Soybean 1047.75 0.10% 1.26% US10Y 4.45 -3 -12.4 Wheat 529.25 0.80% -7.07%…...

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