US 10 yr again fails at 2.80 yield - SPX first target would be yesterday's low - the big gap from last Tues "silly spike" is below 1845
Paris ib 16:24:56 GMT - 03/11/2014
About the only way the U.S. can lower its funding costs is if the stock market crashes. A temporary fix for a big problem.
GVI Forex john 16:22:23 GMT - 03/11/2014
Late in European trade, prices in prime fixed income markets are lower in mixed "risk-on"? trading as markets look for direction. European equity prices are wind uo higher, but U.S. shares are down. Peripheral European bond prices are mostly lower.
Paris ib 15:18:50 GMT - 03/11/2014
The Treasury Department will sell $30 billion of 3-year notes, $21 billion of 10-year notes, and $13 billion of 30-year bonds. Today, tomorrow and Thursday. But that's not a huge deal. There is a lot of paper expiring this year (3 trillion?)... and the deficit to finance as well. The auction schedule remains sketchy. Last year - with a lot rolling over -yields rose sharply in the second half. Same deal this year? The U.S. has to now roll paper with yields sharply higher yields (the bottom line will be ugly). The Chinese mostly hold shorter dated paper - all they have to do is NOT roll over all their U.S. paper if they want to repatriate. No idea what type of paper the Japanese hold.
Livingston nh 14:55:26 GMT - 03/11/2014
Ahead of tomorrow's treasury 10 yr auction, yields are moving back above 2.8% - risk on / risk off
GVI Forex john 09:35:43 GMT - 03/11/2014
Early in European trading hours, financial markets are generally mixed. There is not a lot to go on at the moment. Data news is back-loaded this week. Prices in prime fixed income markets are narrowly mixed.
European equities are mixed. Far East equities ended sharply mixed. U.s. S&P futures are steady at this hour. The peripheral European bond prices are mixed.
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