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Newsig · Investing.com

U.S 10-year yield climbs for 6 straight week as bond rout deepens

Market context: TLT: A 6-week bond rout with the 10-year yield climbing implies significant selling pressure on long-duration Treasuries. Long-dated Treasury bonds face continued selling pressure as yields push higher for a sixth consecutive week. SPY: Rising long-term yields typically pressure equity valuations by increasing discount rates and tightening financial conditions. Higher yields weigh on equity multiples, creating headwinds for broad market indices like the S&P 500. HYG: A deepening bond rout with rising yields raises borrowing costs and credit risk concerns across high-yield corporates. High-yield corporate bonds face pressure as rising rates and widening risk premiums weigh on the asset class.

Why it matters

TLT (20+ Year Treasury) · Why linked: A 6-week bond rout with the 10-year yield climbing implies significant selling pressure on long-duration Treasuries. Market context: Long-dated Treasury bonds face continued selling pressure as yields push higher for a sixth consecutive week.

SPY (SPDR S&P 500 ETF) · Why linked: Rising long-term yields typically pressure equity valuations by increasing discount rates and tightening financial conditions. Market context: Higher yields weigh on equity multiples, creating headwinds for broad market indices like the S&P 500.

HYG (High Yield Corporate) · Why linked: A deepening bond rout with rising yields raises borrowing costs and credit risk concerns across high-yield corporates. Market context: High-yield corporate bonds face pressure as rising rates and widening risk premiums weigh on the asset class.

How TLT, SPY usually react

This story is too recent for its own reaction record — we score each asset against the actual price move 24h after publication. These are the long-run figures across every event we have tracked for them.

AssetEventsAvg max moveClosed lower
TLT11+0.66%64%
SPY13+0.75%69%

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