GBP/USD 1.352 EUR/GBP 0.857 GBP/JPY 197.609 EUR/USD 1.158 GBP/AUD 2.094 USD/JPY 146.177 USD/CAD 1.374 AUD/USD 0.646 CAD/JPY 106.407 EUR/CAD 1.591 GBP/CAD 1.857 AUD/CAD 0.887 AUD/JPY 94.387 AUD/NZD 1.081 EUR/AUD 1.793 GBP/USD 1.352 EUR/GBP 0.857 GBP/JPY 197.609 EUR/USD 1.158 GBP/AUD 2.094 USD/JPY 146.177 USD/CAD 1.374 AUD/USD 0.646 CAD/JPY 106.407 EUR/CAD 1.591 GBP/CAD 1.857 AUD/CAD 0.887 AUD/JPY 94.387 AUD/NZD 1.081 EUR/AUD 1.793
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Finance News – U.S.

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MarketWatch Top Stories • Jun 21, 2025

As Trump blasts Fed to lower rates, it’s the bond market in need of convincing

President Trump’s calls for reduced interest rates highlight concerns over economic challenges, while investors in the bond market remain cautious about the Federal Reserve’s futur...

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MarketWatch Top Stories • Jun 17, 2025

This chart shows the Fed has room to cut interest rates enough to boost bonds and housing

The anticipated reduction in U.S. borrowing costs could lower financing expenses, potentially stimulating investment in real estate and increasing demand for fixed-income securitie...

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CNBC Business • Jun 10, 2025

Inflation readings and Treasury auctions to test the bond market. Here's what to expect

Upcoming economic data and government debt sales are expected to influence investor sentiment, potentially affecting borrowing costs and guiding central bank decisions on monetary...

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MarketWatch Top Stories • Jun 06, 2025

Tesla’s stock is too expensive — even if Musk and Trump make up

Tesla’s high share price reflects strong market expectations, but investors should carefully consider valuation risks and broader economic factors alongside expert guidance on navi...

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MarketWatch Top Stories • Jun 05, 2025

What’s at stake if world’s most powerful market finally buckles after decades-long U.S. debt splurge

If the U.S. bond market weakens after years of extensive borrowing, it could significantly impact government financing costs and investor confidence in the country’s economic stabi...

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MarketWatch Top Stories • Jun 04, 2025

The two rules investors need to follow right now as the S&P 500 eyes a return to 6,000

Investors should consider key strategies to navigate market volatility as the S&P 500 approaches a significant milestone amid ongoing economic uncertainties and trade tensions.

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MarketWatch Top Stories • Jun 02, 2025

Jamie Dimon’s bond-market warnings put investors on alert to diversify outside U.S.

Jamie Dimon’s recent caution regarding bond market risks may encourage investors to seek broader geographic and asset class diversification to better manage potential financial unc...

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CNBC Business • Jun 01, 2025

Investors are piling into big, short Treasury bets alongside Warren Buffett

Many investors are increasing their positions against long-term government bonds, reflecting widespread skepticism about future interest rates and economic conditions as explained...

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MarketWatch Top Stories • May 30, 2025

‘You are going to panic,’ Jamie Dimon tells regulators about what will happen when the bond market c...

Jamie Dimon warned regulators that a major disruption in the bond market could trigger widespread concern, highlighting the importance of monitoring financial stability amid ongoin...

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CNBC Business • May 28, 2025

Japan's bond market raises alarm over risks of outflows from U.S., carry trade unwind and market tur...

Rising yields on Japanese government debt may trigger significant shifts in international investments as domestic investors reconsider exposure to U.S. assets amid concerns about p...

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Quartz • May 27, 2025

The bond market is breathing a little easier after Trump delayed E.U. tariffs

Treasury yields declined on Tuesday as investors responded positively to the postponement of additional tariffs, signaling reduced concerns about escalating trade tensions affectin...

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Quartz • May 25, 2025

Nvidia, Costco, and Fed minutes: What to watch in the stock market this week

Last week’s widespread decline in major stock indexes reflects investor caution amid rising bond yields, signaling potential shifts in market sentiment that could influence portfol...

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MarketWatch Top Stories • May 24, 2025

Rising bond yields give stock-market investors the yips. Watch these levels.

Increasing returns on fixed-income securities have caused uncertainty among equity traders, prompting close attention to key thresholds that could influence market trends and inves...

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MarketWatch Top Stories • May 22, 2025

Why this stock-market strategist expects no recession and zero rate cuts in 2025

The strategist highlights that rising key indicators in the bond and currency markets support his outlook against an economic downturn or interest rate reductions in the upcoming y...

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CNBC Business • May 22, 2025

Ray Dalio says to fear the bond market as deficit becomes critical

Ray Dalio warns that escalating national debt poses serious risks to the bond market, emphasizing concerns about political gridlock hindering effective fiscal management and potent...

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Quartz • May 22, 2025

The bond market is breaking. Washington just made it worse

The recent developments in U.S. Treasury securities have heightened uncertainty, impacting borrowing costs and influencing valuations across various financial assets worldwide.

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MarketWatch Top Stories • May 20, 2025

Why the next 20-year Treasury auction is ‘must-see TV’ for investors after the Moody’s downgrade

The upcoming 20-year Treasury auction holds considerable importance for investors as it may influence bond yields and market stability amid ongoing challenges following Moody’s rec...

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MarketWatch Top Stories • May 20, 2025

Why corporate bonds may be ‘fairly guarded’ from Moody’s downgrade of U.S. debt

Moody’s reduction of the U.S. government’s credit rating is expected to have limited impact on corporate bonds, suggesting they may remain relatively stable despite changes in sove...

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MarketWatch Top Stories • May 16, 2025

What to make of the stock market’s recovery

The recent rebound in equity prices has important implications for investors and retirees, potentially affecting portfolio balances, borrowing costs, and the relative attractivenes...

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CNBC Business • May 09, 2025

60-40 portfolio is dead, but it’s not the bond market that killed it, says financial planning icon R...

According to Ric Edelman, the decline of the classic balanced investment strategy is primarily due to increased life expectancy rather than changes within the fixed-income market.

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