30-Year Treasury Forecast This Week — Outlook, Drivers & Key Levels
This week's 30-Year Treasury outlook: key drivers, volatility context, risk-opportunity assessment and the week ahead.
This week's 30-Year Treasury outlook: key drivers, volatility context, risk-opportunity assessment and the week ahead.
30-Year Treasury institutional positioning: COT data, sentiment analysis and smart money flow assessment.
30-Year Treasury key levels breakdown: support zones, resistance zones, confluence and price structure.
Full Desk
Market pricing structural bearish duration environment with 30Y at 25-year highs of 5.25-5.27%; ZB consolidating near 52-week low 108.31 awaiting August 17-18 data for direction; extreme COT short positioning at 7.6th percentile acknowledged but not acted upon without catalyst
30-Year Treasury institutional positioning: COT data, sentiment analysis and smart money flow assessment.
30-Year Treasury key levels breakdown: support zones, resistance zones, confluence and price structure.
This week's 30-Year Treasury outlook: key drivers, volatility context, risk-opportunity assessment and the week ahead.
Full Desk
Market pricing Fed on hold-to-hike trajectory with 61.9% Sep hike probability; bonds consolidating 108-110 range awaiting Aug 12 CPI for disinflation confirmation and Aug 13 30Y auction for foreign demand signal
30-Year Treasury key levels breakdown: support zones, resistance zones, confluence and price structure.
30-Year Treasury institutional positioning: COT data, sentiment analysis and smart money flow assessment.
This week's 30-Year Treasury outlook: key drivers, volatility context, risk-opportunity assessment and the week ahead.
Full Desk
Market pricing Fed on extended hold after July 29 9-3 decision with 3 officials wanting hike — yields surging to 5.27-5.28% on 30Y, bonds in breakdown as supply pressure and sticky inflation dominate duration pricing; consensus broadly bearish on bonds awaiting August 7 employment and August 12 CPI