Commodities retreat, but diesel shortages, tight copper supply and El Niño risks persist, while gold faces pressure from ...
The S&P 500 fell 0.25% while its equal-weight version fell 0.75%. Implied correlation did not move and rate volatility set a ...
Oracle (ORCL) fell 58% as revenue grew. Three defined-risk option strategies, bullish, bearish and range-bound, priced off ...
High-yield US corporate bonds are under strain and credit spreads have widened sharply. The Bloomberg index of the spread ...
The curve held its contango, with VIX3M at 18.23. SKEW edged up to 146.25 and DSPX to 36.03, while cross-asset gauges moved ...
Gold comes under pressure as surging US real yields and a stronger dollar test resilient ETF demand and support for the ...
Micron heads into earnings with one of the strongest fundamental backdrops in the semiconductor sector. Demand for memory ...
Bond volatility set a fresh high in our record while Treasury yields barely moved and the VIX sat on its own median.
The average yield across the USD 32 trillion US Treasury market has risen to 5.05%, while the average yield on government ...
Oura is preparing to list on Nasdaq under the ticker OURA, with 50 million shares offered at an expected price of US$40–44 ...
BitMEX shut down permanently on 23 September, ending an eleven-year run for the venue that introduced the perpetual swap and ...
Volatility rose across almost every measure on Monday while the same-day gauge fell nearly 10%, as gold broke and Treasury ...