Is there a good opportunity to buy on the dip? Wall Street shows a bullish outlook on U.S. bonds, these ETF investment opportunities are worth paying attention to.
Interestingly, there are signs indicating that some big short sellers in the bond market, who have made a significant profit during this round of U.S. Treasury bond sell-off, are now planning to appropriately withdraw and secure their gains.
Daily Options tracking | The implied volatility of the quantum computing "monster stock" RGTI has soared to 242%, with a Call position earning tenfold returns; Tesla's Call ratio has risen to 66%, and large investors have spent over 0.4 billion dollars on
On the last trading day, MSTR rose over 4%, with an Options Chain volume of 0.47 million contracts, and the implied volatility increased to 111%; on the Options Chain, there is a standoff between bulls and bears, with the highest Trade volume for the 400 dollar strike price call expiring this Friday at 0.016 million contracts.
Wall Street Can't Stop Talking About 'Treasury Term Premiums.' Why All the Fuss? -- Barrons.com
Has 5% reached its limit? The world's largest bond fund leads the way, and Wall Street is showing bullish sentiments towards U.S. Treasuries...
At the beginning of 2025, one of the biggest uncertainties in the Global market is undoubtedly when the selling wave of U.S. Treasuries, with yields racing towards 5%, will stop; Moreover, this Tuesday, Wall Street finally seemed to show a long-awaited bullish sentiment in the bond market...
Bond Traders Wager Slump Set to Ease With Key CPI Data Ahead
Ishares Iboxx $ High Yield Corporate Bond Etf Options Spot-On: On January 14th, 290.09K Contracts Were Traded, With 6.34 Million Open Interest
On January 14th ET, $Ishares Iboxx $ High Yield Corporate Bond Etf(HYG.US)$ had active options trading, with a total trading volume of 290.09K options for the day, of which put options accounted for 7
Why Is the Bond Market Ignoring the Soft PPI Numbers?
U.S. Bond Yields Slip From Highest in More Than a Year With Inflation Data Ahead
Daily Options Tracking | Is the "Trump Trade" making a comeback? DJT made a 24-fold profit on a call option; NVIDIA Options trading is experiencing a tug-of-war, with a large investor purchasing nearly 20 million dollars in long-term call options.
Quantum computing stock RGTI dropped over 32% in the previous trading day, with Options Chain Volume slightly rising to 0.37 million contracts, implied volatility soaring to 211%, and the Put ratio at 52.8%. On the Options Chain, the bearish position is the market Block Orders, with the highest volume for the put option set to expire this Friday at a strike price of $6, totaling 0.014 million contracts, and an open interest of 3,700 contracts.
The bear market for U.S. bonds has entered its sixth year!
The U.S. Bonds are about to enter the sixth year of the third major bear market of the past 240 years, with the previous two bear markets lasting 21 years and 35 years respectively, and this bear market market cycle may be shorter.
Optimism Out of the Window?
Breaking news about Trump! Bloomberg exclusively reveals Trump's team's new tariff proposal.
According to exclusive reports from Bloomberg, members of the economic team of USA President-elect Trump, who is set to take office, are discussing a gradual monthly increase in tariffs to enhance negotiating leverage while helping to avoid soaring inflation. One of the ideas being considered is to develop a progressive tariff schedule that would raise tariffs by about 2% to 5% each month. This plan would also require reliance on the executive powers granted by the International Emergency Economic Powers Act.
Options trading investors are "buying the dip" in the U.S. Treasury market, betting that yields have peaked.
As the volatility in the USA bond market intensifies, some Options Trading participants begin to boldly "buy the dip."
Ishares Iboxx $ High Yield Corporate Bond Etf Options Spot-On: On January 13th, 299.11K Contracts Were Traded, With 6.3 Million Open Interest
On January 13th ET, $Ishares Iboxx $ High Yield Corporate Bond Etf(HYG.US)$ had active options trading, with a total trading volume of 299.11K options for the day, of which put options accounted for 8
When will the US stock market, US bonds, and the US dollar reach a turning point?
Why do the pricing of these three sets of assets—USA bonds, US stocks, and the USD—consistently deviate from the general market expectations? What is the main logic behind the pricing of USA assets, and how should we grasp the main contradictions in the pricing of USA assets?
Hot U.S. Economy Could Lead Fed to Hike Again -- Market Talk
This scene in the bond market has only occurred twice in the past 40 years! Has the Federal Reserve already "sunk into a quagmire"?
Since the early 1980s, the situation where the rise in the 10-year USA Treasury yield is comparable to the extent of the Federal Reserve's interest rate cuts has only occurred twice, which is closely related to the continuously rising inflation expectations.
The "debt market storm" has triggered global panic, but the pain may have just begun.
JPMorgan pointed out that factors such as de-globalization, population aging, and increased spending on climate change will drive the 10-year Treasury yield to maintain a level above 4.5% in the long term. Peters from PGIM Fixed Income stated that if under such circumstances the 10-year yield rises above 5%, he "would not be completely shocked at all."
Patience Over U.S. Treasury Duration Seen as a Virtue -- Market Talk
Trump's 'economic strategist' advocates for raising tariffs to 20%-50%, abandoning a strong dollar, and forcing the Federal Reserve into quantitative easing.
Stephen Miran, the chairman of the Council of Economic Advisers nominated by Trump, put forward his economic theory. He advocates for high tariffs, a weak dollar, and Federal Reserve quantitative easing.