Stock futures decline after higher yields lead to losing session: Live updates
Global stock markets and futures faced downward pressure following sessions defined by climbing Treasury yields, rising oil prices, and rate decisions across regions. US futures showed slight movement following a session where higher yields dragged indices lower. The 30-year Treasury bond yield reached levels not seen since June 2002, pushing equities down and contributing to a monthly bond slump. In Asia, stock markets declined amid risk aversion spurred by higher yields and oil, alongside a rate hike in Australia. Major Wall Street averages headed toward a losing week as bond market pressures continued to affect investor sentiment.
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- β Higher Treasury yields dragged stocks lower to start the week.
- β The 30-year Treasury bond yield hit levels not seen since June 2002.
- β Asia stocks fell as rising yields and oil weighed on risk appetite.
What changed
Stock futures declined following a losing session driven by higher Treasury yields and surging oil prices.
Live updates
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Stock Futures Decline as Rising Yields and Oil Weigh on Markets
Global stock markets and futures faced downward pressure following sessions defined by climbing Treasury yields, rising oil prices, and rate decisions across regions. US futures showed slight movement following a session where higher yields dragged indices lower. The 30-year Treasury bond yield reached levels not seen since June 2002, pushing equities down and contributing to a monthly bond slump. In Asia, stock markets declined amid risk aversion spurred by higher yields and oil, alongside a rate hike in Australia. Major Wall Street averages headed toward a losing week as bond market pressures continued to affect investor sentiment.
Why it matters
Rapidly rising Treasury yields have severely strained equity valuations, pushing bond portfolios into monthly losses and driving major market averages toward losing weekly finishes. The 30-year Treasury yield surged to multi-decade highs not recorded since June 2002, amplifying rate-hike concerns and pressuring global risk appetite alongside advancing oil prices. International markets also absorbed monetary tightening, notably following a rate hike in Australia that added to regional downturns.
What is confirmed
- Higher Treasury yields dragged stocks lower to start the week.
- The 30-year Treasury bond yield hit levels not seen since June 2002.
- Asia stocks fell as rising yields and oil weighed on risk appetite.
Still unconfirmed
- Futures slid as oil jumped and the bond selloff resumed after Trump spurned an Iran offer.
What to watch next
- Further movements in Treasury yields and their impact on major stock indices
- Upcoming central bank decisions and policy announcements
- Developments in global oil prices and geopolitical negotiations
confidence 90%Sources used for this update (15)
- www.zerohedge.com β Futures Slide As Oil Jumps, Bond Selloff Resumes After Trump Spurns Iran Offer | ZeroHedge
- CNBC β Stock futures are little changed after higher yields lead to losing session: Live updates
- www.cnbc.com β Stock market today: Live updates - CNBC
- Reuters β Stocks wobble as bonds slump to monthly loss
- Investing.com β Asia stocks fall as rising yields, oil weigh on risk appetite; RBA decision ahead
- TradingView β US Futures Edge Higher After Weak Session
- Breakingthenews.net β Asia-Pacific lower after Australia's rate hike
- www.cnbc.com β Stock market today: Live updates - CNBC
- economictimes.indiatimes.com β Sensex Today | Nifty 50 | Stock Market Live Updates: Sensex gains over 100 pts, Nifty below 22,700; media index rallies, healthcare drops
- www.thehindubusinessline.com β Stock Market Today Highlights: Stock markets fall for 3rd day; Nifty down 96 points, Sensex slips to 72,4....
- economictimes.indiatimes.com β Dow Jones| Nasdaq | US Stock Market Today | Live: US market edges higher as inflation, consumer spending data boost stocks
- finance.yahoo.com β MARKETS LIVE: Wall Street closes mixed as cooling inflation lifts Nasdaq
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