Sovereign bonds extended a rebound, U.S. and European equity futures rose and the dollar dipped Monday, signaling calmer markets after the turmoil sparked by last week’s slide in government debt.
Treasury benchmark yields fluctuated around 1.40% and Australian and New Zealand debt rallied sharply. Australia’s 10-year yield slid the most in a year after the central bank doubled purchases at its regular bond-buying operation in a fresh bid to pacify fixed-income markets.
The recovery in bonds helped S&P 500 and Nasdaq 100 equity futures advance, while stocks in Japan, Australia and Hong Kong jumped. On Friday, the S&P 500 slipped and tech stocks staged a modest rebound as Treasuries recovered from their sharpest selloff in a year.
Most Group-of-10 currencies climbed, with the Australian and New Zealand dollars among the outperformers despite data showing China’s economic recovery slowed in February. Commodities rose as oil topped $62 a barrel.
Nikkei +2.41% Hang Seng +1.29% CSI +1.23% Shanghai +0.93% Shenzen +2.00%
Eur$ 1.2087 CNH 6.4690 CNY 6.4657 JPY 106.56 GBP 1.3986 CHF 0.9082 RUB 74.2653 TRY 7.3499 WTI 62.43 +1.51% GOLD 1756 +1.26% BTC 46,000 +2800
S&P +0.74% Nasdaq +1.10% EuroStoxx +0.82% FTSE +0.84% Dax +0.80% SMI
Macro :
Macro :
- *CHINA FEB. MANUFACTURING PMI AT 50.6; EST. 51.0
- Buffett’s Heading to LA in Rare Switch-Up for Annual Meeting
- Buffett’s Heading to LA in Rare Switch-Up for Annual Meeting
- House Passes Biden Aid With $1,400 Checks; Focus Moves to Senate
- Saudi Kingdom Rejects U.S. Report on Khashoggi Killing: SPA
- Airline Stocks Are Soaring, But There’s Still a Long Way Back
- SEC Could Examine Penny Stock Listing Standards: Fox Business
Keep an eye on :
Keep an eye on :
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