Business
U.S. Two-Year Treasury Yield Might Signal Fed’s Next Move to Be a Rate Hike
Over the past 30 years, every time that the U.S. two-year Treasury yield crossed above the fed funds rate, the Federal Reserve’s next move was a hike, Aptus Capital Advisors’ John Luke Tyner said in a note.
“We are currently in that situation,” the portfolio manager and head of fixed income said.
Over the last few months, expectations for Fed rate cuts have been slashed, and transitioned to expectations for rate hikes on the back of a strong economy and high inflation, mostly related to higher energy prices, he said.
Business
CEOs Are Pulling In Record Pay. Here Are Some Big Numbers.
Pay for chief executives keeps hitting new highs, and it isn’t just Elon Musk’s multibillion-dollar pay package from Tesla.
CEOs making more than $100 million hit a four-year high in 2025 and nearly a dozen chiefs blew past the $200 million mark. More corporate bosses surpassed $50 million as well.
Copyright ©2026 Dow Jones & Company, Inc. All Rights Reserved. 87990cbe856818d5eddac44c7b1cdeb8
Business
Hanson slides in the polls after voter 'reality check'
Support for Pauline Hanson’s party has dipped in the latest polls following her controversial National Press Club address, as Labor brands the major speech a “reality check” for Australians.
Business
Why is Lenovo stock sliding today?

Why is Lenovo stock sliding today?
Business
GLD: Moving From Bearish To Neutral (NYSEARCA:GLD)
Seeking Alpha’s readers can expect: cross-asset and macro coverage. The write-ups aren’t amalgamated headlines. Instead, macro, quantitative risk, and fundamental factors are used to formulate conclusions.Platform Author: Steve Booyens CFA, FRMSteve’s Market Philosophy: Achieving gains is about how you manage a portfolio, not just single asset selection. I follow Bayesian, Taleb, and Druckenmiller’s school/s of thought.Steve’s Experience: Equity Research, Treasury & Risk, FX Trading Desk, 6-years running Pearl Gray part-time (now full-time), Investment Committee participation (~$1.5 Bn exposure). I didn’t have an interest in financial markets until the age of 21 as my initial passion was sports.Pearl Gray’s make-up: Private investment vehicle with services rendered in consulting. Seeking Alpha’s platform was used as a revenue stream early-on; SA is now used as a peer-to-peer discussion platform.Disclaimer: Kindly note that our published content is dispensed as Independent Analysis and Doesn’t Constitute Financial Advice. For any content-related concerns, leave a message in the comments section.
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Business
Franklin Municipal Ladder 5-20 Year SMA Q1 2026 Commentary
Franklin Resources, Inc. [NYSE:BEN] is a global investment management organization with subsidiaries operating as Franklin Templeton and serving clients in over 150 countries. Franklin Templeton’s mission is to help clients achieve better outcomes through investment management expertise, wealth management and technology solutions. Through its specialist investment managers, the company offers specialization on a global scale, bringing extensive capabilities in fixed income, equity, alternatives and multi-asset solutions. With more than 1,300 investment professionals, and offices in major financial markets around the world, the California-based company has over 75 years of investment experience and over $1.4 trillion in assets under management as of June 30, 2023. For more information, please visit franklintempleton.com and follow us on LinkedIn, Twitter and Facebook.
Business
Gold slips as US-Iran tensions lift oil, US rate-hike bets weigh
FUNDAMENTALS
Spot gold was down 0.5% at $4,067.99 per ounce, as of 0045 GMT. U.S. gold futures for August delivery lost 0.4% to $4,081.20.
Iran launched missiles and drones at U.S. military sites in Kuwait and Bahrain early on Sunday, shortly after U.S. President Donald Trump threatened to wipe out the Iranian leadership if they did not stick to the agreement to end their war.
However, Tehran and Washington agreed to halt recent hostilities in the Gulf and renew talks regarding their dispute over the Strait of Hormuz, Axios reported on Sunday.
Oil prices rose on Monday following days of tit-for-tat strikes by the United States and Iran in the Middle East that underscored the fragility of their interim peace deal and again slowed energy shipping in the Strait of Hormuz.
Data on Thursday showed that U.S. inflation accelerated in May, breaking above 4.0% for the first time in three years as the Middle East conflict boosted energy prices.
Traders expect three Fed rate hikes this year and are pricing in an about 77% chance of a December increase, according to the CME FedWatch Tool.
Gold started trading at a premium in India last week for the first time in a month and a half, as a price correction lifted buying, while demand stayed subdued in top consumer China.
Gold speculators raised net long positions by 91 contracts to 113,010 in the week ended June 23.
Spot silver fell 1.1% to $58.49 per ounce, platinum gained 0.4% to $1,620.15, while palladium lost 0.4% at $1,204.25.
DATA/EVENTS
(GMT) 0900 EU Consumer Confid.Final June
Business
Japan targets more than doubling real growth to over 1% in economic blueprint

Japan targets more than doubling real growth to over 1% in economic blueprint
Business
China’s Momenta kicks off Hong Kong IPO, targets up to $751 million

China’s Momenta kicks off Hong Kong IPO, targets up to $751 million
Business
PFC, REC boards approve merger scheme, share exchange ratio at 88 PFC shares for every 100 REC shares
The approvals came after the board meetings of both companies concluded late on Sunday, paving the way for creating of India’s largest power sector financing institution with a combined loan book of more than Rs 11 lakh crore.
PFC owns a 52.6% stake in REC. The Centre owns 55.99% in PFC but doesn’t directly own a stake in REC.
“The share exchange ratio for the proposed merger of REC into PFC shall be 88 equity shares of PFC of Rs10 each fully paid up for every 100 equity shares of REC of Rs 10 each,” information on stock exchanges by the companies said.
The scheme provides for merger of the companies by absorption of REC into PFC with effect from April 1.
The merger will now require approvals from shareholders, stock exchanges, the Securities and Exchange Board of India (SEBI), the National Company Law Tribunal (NCLT) and other statutory authorities before becoming effective.
The Centre had announced plans to consolidate the two state-owned lenders to improve operational efficiency, strengthen their balance sheet and create a larger institution capable of meeting the power sector’s growing financing requirements.The merger process gathered pace after the boards of the two companies granted in-principle approval earlier this year. The government subsequently obtained the President’s approval to proceed with the amalgamation and appointed SBI Capital Markets as merchant banker and RBSA Valuation Advisors as the independent valuer for determining the share exchange ratio.
PFC and REC are focused on the power sector, funding generation, transmission, distribution, renewable energy, battery storage and other energy infrastructure projects. The combined entity is expected to play a larger role in financing India’s energy transition and the massive investment planned in electricity infrastructure over the coming decade.
The government in the FY27 budget announced that it seeks to achieve scale and improve efficiency in public sector NBFCs and as a first step it proposed to restructure PFC and REC.
The boards of both companies subsequently approved a merger plan, stating that the new entity will remain a government company, clearing the air over ownership.
Business
Dollar poised for best month in nearly a year; eyes on jobs data, Gulf tension

Dollar poised for best month in nearly a year; eyes on jobs data, Gulf tension
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