Sovereign Yield & Inflation Repricing
Surging long-end sovereign yields — including the US 30-year hitting a 19-year high — combined with oil price spikes from Iran tensions and hawkish central bank signals from Australia and New Zealand are forcing aggressive cross-asset repricing across crude, major currency pairs, and global fixed income as sticky inflation constrains policy flexibility and compresses risk appetite. Traders are repositioning across the Spain 35, DXY, Brent, WTI, EUR/USD, AUD/USD, USD/JPY, and multi-decade yield instruments as macro inflation pressure reshapes the global rate outlook.
ForexRåvarerAksjer
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| Eiendel | Pris | 24t Endring | Sektor |
|---|---|---|---|
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JAPTOPIXJapan TOPIX Index | $4,116.15 | +1.86% | asia indices |
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EURGBPEuro / British Pound | $0.85 | -0.27% | forex minors |
AUS200S&P/ASX 200 Index | $8,753.5 | +0.56% | asia indices |
GB30YUnited Kingdom 30 Year Yield | $5.96 | +0.51% | us indices |
HBARHedera Hashgraph | $0.11 | -4.09% | — |
JXYJapanese Yen Currency Index | $63.56 | +0.01% | us indices |
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GLXYGalaxy Digital Inc. | $28.1 | +0.00% | — |
XAGUSDSilver / US Dollar | $60.31 | -0.93% | precious metals |
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HIVEHive | $0.06 | +3.12% | — |
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