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Tag

yield curve

50 articles

Unemployment Claims Hit 60-Year Low, Pushing Fed Cut Odds to 5%
Macro & Rates13h ago
Unemployment Claims Hit 60-Year Low, Pushing Fed Cut Odds to 5%
Weekly jobless claims fell to a near six-decade low, lifting the two-year Treasury yield 8 basis points and cutting September rate-cut odds to 5 percent.
Resilience Policy Extends Duration Risk as Long-End Yields Stay Elevated
Macro & Rates19h ago
Resilience Policy Extends Duration Risk as Long-End Yields Stay Elevated
An economy engineered to resist downturns keeps inflation sticky and rates high, compounding capital losses for fixed-income portfolios holding long-dated assets.
Fed Cut Odds Collapse as Resilience Narrative Locks In Higher-for-Longer Rates
Macro & Rates20h ago
Fed Cut Odds Collapse as Resilience Narrative Locks In Higher-for-Longer Rates
Futures now price a 68 percent probability the first Fed cut comes no earlier than March 2027, up from 45 percent three months ago, as sticky inflation grinds down easing bets
Fed Drops Forward Guidance, Two-Year Treasury Yield Jumps 8 Basis Points
Macro & RatesYesterday
Fed Drops Forward Guidance, Two-Year Treasury Yield Jumps 8 Basis Points
The Federal Reserve's shift to data-dependent communication lifted the two-year yield to 4.97 percent and cut September pause odds to 72 percent.
Japan Factory PMI Hits 52.3 in July, Sharpens Case for BoJ Policy Shift
Macro & RatesYesterday
Japan Factory PMI Hits 52.3 in July, Sharpens Case for BoJ Policy Shift
Manufacturing output and new orders expanded for a third straight month, giving the Bank of Japan firmer ground to steepen the JGB curve.
GIC Posts First Negative Real Return on Record: -0.3% Over Five Years
Macro & Rates2d ago
GIC Posts First Negative Real Return on Record: -0.3% Over Five Years
Singapore's sovereign wealth fund recorded its first negative real return in public history, hit by duration losses in fixed income and late-cycle equity pressure.
Yen's Trade-Weighted Index Falls Broadly as BOJ Policy Divergence Widens
Macro & Rates2d ago
Yen's Trade-Weighted Index Falls Broadly as BOJ Policy Divergence Widens
The yen's broad decline against major trading partners reflects sustained pressure from global interest rate differentials and the Bank of Japan's ultra-loose policy stance.
Dutch 32-Hour Week Drives Eurozone Yields Higher as Productivity Gains Shift ECB Outlook
Macro & Rates63d ago
Dutch 32-Hour Week Drives Eurozone Yields Higher as Productivity Gains Shift ECB Outlook
The Netherlands' strong economy despite the developed world's shortest work week indicates high productivity gains that could reduce ECB rate cut expectations
India-Canada Trade Talks May 25-27 Could Ease Inflation Pressures
Macro & Rates63d ago
India-Canada Trade Talks May 25-27 Could Ease Inflation Pressures
Three-day FTA discussions may create disinflationary forces that alter central bank policy space and duration risk calculations
Warsh Elected FOMC Chair; Two-Year Yield Rises 10 Bps to 4.95 Percent
Macro & Rates63d ago
Warsh Elected FOMC Chair; Two-Year Yield Rises 10 Bps to 4.95 Percent
President Trump's appointment of Kevin Warsh to lead the Federal Reserve's rate-setting committee immediately shifts market expectations toward a more restrictive monetary policy stance
Trump-Lai Call Delay Reduces Geopolitical Risk Premium on Treasuries
Macro & Rates63d ago
Trump-Lai Call Delay Reduces Geopolitical Risk Premium on Treasuries
White House confirms no immediate call planned between Trump and Taiwan president, easing bond market tensions
2s10s Curve Inversion Deepens to 68 Basis Points as Steepening Bets Fail
Macro & Rates64d ago
2s10s Curve Inversion Deepens to 68 Basis Points as Steepening Bets Fail
Persistent inversion between two-year and 10-year Treasuries challenges fixed-income assumptions as Fed easing expectations fade
BOJ's Himino Calls for Global Monetary System Overhaul as Rate Divergence Widens Spreads
Macro & Rates70d ago
BOJ's Himino Calls for Global Monetary System Overhaul as Rate Divergence Widens Spreads
Bank of Japan Deputy Governor Shinichi Himino advocates for unified global monetary policy approach, citing financial stability risks from current divergences
Alphabet's ¥250 Billion Bond Sale Tests Yen Carry Trade Stability
Macro & Rates71d ago
Alphabet's ¥250 Billion Bond Sale Tests Yen Carry Trade Stability
The tech giant's record offering, the largest by a foreign issuer in Japan, shows corporations locking in low-cost funding as rate differentials widen
Asia Equity Inflows Accelerate as Duration Risk Drives Rotation from U.S. Tech
Macro & Rates76d ago
Asia Equity Inflows Accelerate as Duration Risk Drives Rotation from U.S. Tech
Institutional flows target Asian markets as inverted U.S. yield curve and elevated Treasury duration risk prompt portfolio rebalancing
Intermediary Costs Keep Yield Curve Inverted as Duration Risk Climbs
Macro & Rates77d ago
Intermediary Costs Keep Yield Curve Inverted as Duration Risk Climbs
Structural markups from financial and supply chain intermediaries keep inflation elevated, forcing the Fed to maintain restrictive policy
Japan March Nominal Wages Up 2.7%, Real Wages 1.0%—BOJ Tightening Path Solidifies
Macro & Rates78d ago
Japan March Nominal Wages Up 2.7%, Real Wages 1.0%—BOJ Tightening Path Solidifies
Wage growth exceeds consensus estimates and BOJ policy rate, reinforcing market expectations for further policy normalization
El Nino Probability at 60 Percent for Second Half 2026—Commodity Inflation Risk Rises
Macro & Rates80d ago
El Nino Probability at 60 Percent for Second Half 2026—Commodity Inflation Risk Rises
United States forecasters predict a strong El Nino, potentially driving agricultural commodity prices higher and complicating central bank disinflation efforts
DOJ Sues Minnesota Over Climate Lawsuit, Fueling Macro Uncertainty for Energy, Rates
Macro & Rates81d ago
DOJ Sues Minnesota Over Climate Lawsuit, Fueling Macro Uncertainty for Energy, Rates
The Justice Department's intervention in Minnesota's climate change lawsuit signals a potential federal policy shift impacting energy markets, inflation expectations, and fixed-income duration risk.
Williams Affirms Fed Policy Adequacy — Yields Hold Firm Amidst Economic Uncertainty
Macro & Rates81d ago
Williams Affirms Fed Policy Adequacy — Yields Hold Firm Amidst Economic Uncertainty
New York Fed President John Williams stated the Federal Reserve's monetary policy is appropriately calibrated for current economic risks, signaling a sustained higher-for-longer rate environment.
Geopolitical Risk Premium Hardens, Yields Climb as Hormuz Transit Signals Inflationary Tailwinds
Macro & Rates81d ago
Geopolitical Risk Premium Hardens, Yields Climb as Hormuz Transit Signals Inflationary Tailwinds
A US-flagged Maersk ship transiting the Strait of Hormuz with military escort has amplified geopolitical tensions, signaling potential inflationary pressures that could impact central bank policy.
Geopolitical Tensions Drive Yield Volatility, Complicate Fed's Disinflationary Path
Macro & Rates82d ago
Geopolitical Tensions Drive Yield Volatility, Complicate Fed's Disinflationary Path
President Trump's call for South Korea to join a mission protecting ships near Iran introduces significant geopolitical risk, immediately impacting energy prices and central bank policy expectations.
Political Gerrymandering Elevates Policy Risk, Demands Higher U.S. Term Premiums
Macro & Rates83d ago
Political Gerrymandering Elevates Policy Risk, Demands Higher U.S. Term Premiums
Analysis by Reuters indicates over 90 percent of Americans live in politically uncompetitive districts, a structural issue demanding increased compensation from fixed income investors for policy uncertainty.
Geopolitical Commitments Stoke Inflationary Fears, Steepen Yield Curve Outlook
Macro & Rates83d ago
Geopolitical Commitments Stoke Inflationary Fears, Steepen Yield Curve Outlook
British Prime Minister Starmer's pledge for expanded defense collaboration with Ukraine signals persistent fiscal burdens and inflation risks, challenging global central bank disinflation efforts.
Yen Volatility Persists as Katayama Declines FX Intervention Comment
Macro & Rates83d ago
Yen Volatility Persists as Katayama Declines FX Intervention Comment
Japan's Chief Cabinet Secretary's non-committal stance on currency intervention reinforces market uncertainty, prompting a cautious tone across global fixed income and equity markets.
Geopolitical Risk Premium Rises on Iran Rhetoric, Complicating Fed's Path
Macro & Rates84d ago
Geopolitical Risk Premium Rises on Iran Rhetoric, Complicating Fed's Path
Senator Lindsey Graham's call for decisive U.S. action against Iran injects new uncertainty into global markets, forcing a reassessment of inflation expectations and Treasury yields.
Berkshire's $11.35 Billion Earnings Signal Economic Resilience, Challenging Fed Rate Cut Hopes
Macro & Rates84d ago
Berkshire's $11.35 Billion Earnings Signal Economic Resilience, Challenging Fed Rate Cut Hopes
Robust quarterly results from Berkshire Hathaway underscore a surprisingly resilient U.S. economy, compelling the fixed income market to recalibrate its expectations for Federal Reserve policy easing.
Fed Policy Uncertainty Deepens Yield Curve Inversion as Market Weighs Hawkish Futures
Macro & Rates84d ago
Fed Policy Uncertainty Deepens Yield Curve Inversion as Market Weighs Hawkish Futures
As Wall Street speculates on potential Federal Reserve policy shifts, the U.S. Treasury market reflects growing duration risk and concerns over a prolonged period of restrictive rates, pushing short-term yields higher.
U.S. Fuel Shock: Iran Conflict Spurs G7's Steepest Energy Inflation
Macro & Rates85d ago
U.S. Fuel Shock: Iran Conflict Spurs G7's Steepest Energy Inflation
President Trump's military action in Iran has triggered a domestic energy crisis, pushing U.S. consumer fuel costs to the highest among G7 nations and complicating Federal Reserve policy.
Energy Shock Meets AI Wave, Driving Yield Curve Volatility Amid Inflationary Pressures
Macro & Rates85d ago
Energy Shock Meets AI Wave, Driving Yield Curve Volatility Amid Inflationary Pressures
Economic crosscurrents intensify as a surge in energy prices clashes with the burgeoning AI sector, creating divergent market reactions and significant duration risk for fixed income portfolios.
Aluminum Supply Hole Forecast Fuels Inflationary Pressures, Duration Risk Rises
Macro & Rates85d ago
Aluminum Supply Hole Forecast Fuels Inflationary Pressures, Duration Risk Rises
JPMorgan's assessment of a significant aluminum supply deficit signals potential for sustained commodity-driven inflation, forcing a re-evaluation of central bank policy and duration exposure across fixed income portfolios.
Brazil's Inflation Battle Intensifies as Global Capital Courts Emerging Markets
Macro & Rates91d ago
Brazil's Inflation Battle Intensifies as Global Capital Courts Emerging Markets
Persistent price pressures and surging foreign interest challenge the Banco Central do Brasil's monetary policy framework, driving volatility in local fixed income.
Witkoff, Kushner Pakistan Trip for Iran Talks Ignites Geopolitical Risk Premium
Macro & Rates91d ago
Witkoff, Kushner Pakistan Trip for Iran Talks Ignites Geopolitical Risk Premium
The White House confirmed diplomatic efforts in Pakistan to address Iran tensions, immediately shifting global risk perceptions and challenging the Federal Reserve's delicate policy balance.
King Charles’s U.S. Trip Underpins Stability, Fixed Income Markets Recalibrate Risk
Macro & Rates92d ago
King Charles’s U.S. Trip Underpins Stability, Fixed Income Markets Recalibrate Risk
The high-stakes visit by King Charles to the United States is prompting institutional investors to reassess geopolitical risk premiums and potential long-term economic cooperation, impacting sovereign bond yields and credit spreads.
Pentagon Memo Jolts Global Alliances, Risk Premium Rises Across Sovereign Yields
Macro & Rates92d ago
Pentagon Memo Jolts Global Alliances, Risk Premium Rises Across Sovereign Yields
An internal Pentagon document outlining potential U.S. withdrawal of diplomatic support for European territorial claims introduces unprecedented geopolitical uncertainty, prompting a swift re-evaluation of risk in fixed income markets.
Geopolitical Tensions Escalate in Gulf, Driving Flight to Safety Across Yield Curve
Macro & Rates94d ago
Geopolitical Tensions Escalate in Gulf, Driving Flight to Safety Across Yield Curve
Iran's accusation against the United States over a vessel seizure in the Gulf of Oman injects significant risk premium into global markets, prompting a sharp bid for U.S. Treasuries and impacting inflation expectations.
House Resignation Amplifies Political Risk, Yield Curves Brace for Fiscal Uncertainty
Macro & Rates95d ago
House Resignation Amplifies Political Risk, Yield Curves Brace for Fiscal Uncertainty
A U.S. House Democrat's resignation amid fund theft accusations injects fresh political instability, prompting fixed income markets to reassess sovereign risk premiums and the path of fiscal policy.
Bezos AI Funding Signals Long Duration Capital Inflow, Challenging Rate Cut Narrative
Macro & Rates95d ago
Bezos AI Funding Signals Long Duration Capital Inflow, Challenging Rate Cut Narrative
A $10 billion funding round for Jeff Bezos's AI venture underscores robust private capital deployment into transformative technology, signaling potential for future productivity gains that could reshape inflation and monetary policy trajectories.
Sticky March Inflation Pushes Fed Rate Cuts Deep Into 2026
Macro & Rates102d ago
Sticky March Inflation Pushes Fed Rate Cuts Deep Into 2026
Persistent price pressures in latest CPI report force bond markets to recalibrate expectations, solidifying a higher-for-longer rate outlook
IMF Cuts Global Growth Forecast to 2.5% on Middle East War Escalation
Macro & Rates103d ago
IMF Cuts Global Growth Forecast to 2.5% on Middle East War Escalation
Fund warns geopolitical tensions threaten supply chains, energy markets as inflation forecast rises to 4.5%
Consumer Spending Split Pressures Food Giants, Widens Credit Spreads
Macro & Rates104d ago
Consumer Spending Split Pressures Food Giants, Widens Credit Spreads
Inflation and shifting preferences force re-evaluation of traditionally defensive consumer goods sector as middle-income buyers trade up or down
Energy Price Surge Ignites Inflation Worries, Pushing Yield Curve Steeper
Macro & Rates105d ago
Energy Price Surge Ignites Inflation Worries, Pushing Yield Curve Steeper
Climbing gasoline and airfares signal persistent inflation pressures, forcing bond markets to reprice rate cut expectations and increasing duration risk across fixed income portfolios
Oil Cargo Scramble Ignites Supply Fears, Yield Curve Signals Inflation Pressure
Macro & Rates105d ago
Oil Cargo Scramble Ignites Supply Fears, Yield Curve Signals Inflation Pressure
A desperate scramble for crude oil cargoes persists globally, signaling persistent inflationary forces that challenge central bank disinflation narratives
Crypto Fear Spikes as Mixed Equity Signals, Flat Yield Curve Signal Fed Uncertainty
Macro & Rates105d ago
Crypto Fear Spikes as Mixed Equity Signals, Flat Yield Curve Signal Fed Uncertainty
Cryptocurrency sentiment plummets to extreme fear levels while equities show mixed performance as bond markets continue pricing in prolonged higher rates
Mideast Talks Ease Risk Premium, Shift Global Yield Curve Dynamics
Macro & Rates105d ago
Mideast Talks Ease Risk Premium, Shift Global Yield Curve Dynamics
Lebanon and Israel negotiations inject cautious optimism into markets, potentially easing oil price volatility and recalibrating safe-haven demand in global fixed income
White House Plea Talks Spark Market Uncertainty
Macro & Rates109d ago
White House Plea Talks Spark Market Uncertainty
Reports of a lobbyist connected to a Presidential pardon entering plea negotiations inject fresh political uncertainty into markets, prompting a cautious recalibration of rate expectations.
Stubborn Data Dents Rate Cut Bets, Yield Curve Stays Inverted
Macro & Rates112d ago
Stubborn Data Dents Rate Cut Bets, Yield Curve Stays Inverted
Market participants recalibrate dovish expectations as recent economic indicators challenge the Federal Reserve's path, deepening the yield curve inversion and amplifying duration risk across fixed income portfolios.
Data vs. Dogma: FT Opinion Highlights Macro Risk from Narrative Overload
Macro & Rates113d ago
Data vs. Dogma: FT Opinion Highlights Macro Risk from Narrative Overload
The Financial Times cautions against succumbing to speculative narratives, a warning fixed-income veterans recognize as a critical threat to rational market pricing and central bank efficacy.
French Terror Plot Lifts European Risk Premium, Fiscal Bets
Macro & Rates114d ago
French Terror Plot Lifts European Risk Premium, Fiscal Bets
A foiled bombing attempt in France injects renewed geopolitical uncertainty into global markets, forcing fixed-income investors to recalibrate duration risk and assess potential fiscal responses that could reshape sovereign yield curves and central bank policy paths.
Asia Manufacturing Resilience Masks War-Driven Inflationary Pressures
Macro & Rates115d ago
Asia Manufacturing Resilience Masks War-Driven Inflationary Pressures
Robust factory output across Asia provides a critical global economic anchor, yet escalating geopolitical tensions are now visibly driving up commodity prices, forcing central banks to confront persistent inflationary risks.