Treasury yields

13 articles
BenzingaBenzinga··Rishabh Mishra

Gold Plunges 22% Into Bear Market as Oil Surge and Rate Hikes Erode Safe-Haven Appeal

Gold crashes 22% to bear market territory as Middle East tensions spike oil prices and rising Treasury yields diminish the non-yielding asset's appeal despite institutional buying.
DBDGPDGZDZZISGDFinflationFederal Reserve
BenzingaBenzinga··Piero Cingari

Oil Surges to $110 as Stagflation Fears Grip Markets; Stocks Hit 4-Month Lows

U.S. stocks fell to four-month lows as Brent crude hit $110 and rate-hike odds climbed, spurring stagflation concerns and precious metals selloff.
CORTDELLSPYQQQNVDA+6market volatilityprecious metals
BenzingaBenzinga··Piero Cingari

Oil Breaches $100 as Iran Strikes Fuel Stagflation Fears, S&P 500 Tumbles

S&P 500 slides to November lows as crude oil tops $100/barrel following Iranian strikes on Gulf infrastructure, reigniting stagflation concerns amid Fed hawkishness.
SPYQQQNVDADIAMETA+15inflationFederal Reserve
BenzingaBenzinga··Rishabh Mishra

Stock Futures Rally as Trump Pushes NATO on Hormuz; Fed Rate Pause Priced In

U.S. stock futures gain ground Monday as Trump urges allies to secure Strait of Hormuz. Markets price 99.1% chance of unchanged Fed rates in March.
SPYQQQADBEGETYSMTC+6inflationFederal Reserve
The Motley FoolThe Motley Fool··Matt Frankel, Cfp

S&P 500 Hits Lowest Point Since November as Stagflation Fears Surge

S&P 500 hits lowest level since November amid stagflation fears, weak growth, and surging oil prices driven by Iran conflict tensions.
NVDAMETAMSFTAMZNGOOG+2inflationeconomic growth
BenzingaBenzinga··Rishabh Mishra

Stock Futures Fall Despite Trump's Iran Claims as Energy Rallies, Tech Earnings Loom

S&P 500 and Dow futures declined Thursday amid geopolitical tensions. Bumble surged 22.89% on earnings; Morgan Stanley dropped 1.80% after redemption restrictions; Adobe fell pre-earnings.
SPYQQQMSMSpAMSpE+11earningsstock market
Investing.comInvesting.com··Michael Kramer

Market Stress Signals Flash as Rates, Oil Surge Despite Flat S&P 500

S&P 500 flat despite rising Treasury yields above 3.65% and 4.23%, while widening credit spreads and negative currency swaps signal hidden market stress.
USDUHBTPFS&P 500oil prices
The Motley FoolThe Motley Fool··Neha Chamaria

Newmont Stock Plunges 13% Despite Record 2025 Results as Gold Prices Stumble

Newmont stock fell 13% this week despite record 2025 results, as gold prices weakened amid a stronger dollar and rising Treasury yields. Production declines pose near-term concerns.
NEMfree cash flowgold production
BenzingaBenzinga··Piero Cingari

Iran Tensions Ignite Oil Spike, Triggering Broad Market Selloff Across All Sectors

Escalating Iran tensions drove crude oil 6.4% higher to $75.80/barrel, sparking broad selloff across all S&P 500 sectors amid Strait of Hormuz closure concerns.
CCLTGTONONASTSBBY+6emerging marketsmarket volatility
BenzingaBenzinga··Piero Cingari

Defense Stocks Soar as Middle East Tensions Drive Market Rotation

Middle East tensions propelled energy and defense stocks while cruise lines tumbled Monday. Oil surged 5.1% to $70/barrel; Treasury yields jumped 11 basis points as markets repriced risk.
PLTRCCLNCLHRCLXAR+3market volatilityenergy stocks
BenzingaBenzinga··Rishabh Mishra

Futures Gain Ground Following Presidential Address; Tech Earnings Drive Market Focus

Stock futures rose after presidential address outlining tariff policy. Tech earnings drove focus as investors assessed policy implications and Fed rate expectations amid mixed corporate results.
SPYQQQNVDAWDAYHSBC+1earningsFederal Reserve
BenzingaBenzinga··Rishabh Mishra

Mixed Signals in U.S. Equity Futures as Tariff Concerns Offset Corporate Earnings Gains

U.S. stock futures mixed Tuesday as tariff concerns offset strong corporate earnings. S&P 500 retreated while Dow and Nasdaq advanced amid investor uncertainty.
SPYQQQUBERWHRHPQ+2earningsstock market
The Motley FoolThe Motley Fool··David Dierking

Treasury Yields Plunge Most in 5 Months Amid Inflation Data Shift

Treasury yields fell 25 basis points in a week on softer-than-expected inflation data, prompting investors to reassess rate expectations and reposition portfolios.
BAMGinflationmarket volatility