Top Tweets for #GLOBALMACRO
HIGH TERM PREMIUM MEETS LOW VOL—CARRY TRADES THRIVE
#US #BONDS #INTERESTRATES #FED #MARKETS #GLOBALMACRO #TRADING

‼️ 🇨🇳 China is winning the perception trade—but investors should price strategic hedging, not Beijing’s supremacy
Read More: https://t.co/QoIHiyiJk5
#Geopolitics #China #UnitedStates #GlobalMacro #Investing #SupplyChains #IndustrialPolicy

‼️ 💵 Dollar dominance is cracking—but not collapsing. Here’s what it means for your portfolio
Read More: https://t.co/akLgFytMvr
#DeDollarization #BondMarket #TreasuryYields #FederalReserve #GlobalMacro #InstitutionalInvestors #PortfolioStrategy #USD #FixedIncome #Geopolitics

Brazil just printed its first monthly deflation in a year. Korea hiked back-to-back. A telco is becoming a bank. Week 35 is a masterclass in why EM credit is NOT one trade. #EmergingMarkets #PrivateCredit #GlobalMacro
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Macro & Gold Specialist | Professional Insights Daily
@TamizhanCapital | Strategy is my Art, Markets are my Canvas
Follow for consistent macro breakdowns 🔥
#XAUUSD #GoldTrading #Forex #CrudeOil #DXY #TechnicalAnalysis #PriceAction #TradingView #GlobalMacro #GoldTrading
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Macro & Gold Specialist | Professional Insights Daily
@TamizhanCapital | Strategy is my Art, Markets are my Canvas
Follow for consistent macro breakdowns 🔥
#XAUUSD #GoldTrading #Forex #CrudeOil #DXY #TechnicalAnalysis #PriceAction #TradingView #GlobalMacro #GoldTrading
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Macro & Gold Specialist | Professional Insights Daily
@TamizhanCapital | Strategy is my Art, Markets are my Canvas
Follow for consistent macro breakdowns 🔥
#XAUUSD #GoldTrading #Forex #CrudeOil #DXY #TechnicalAnalysis #PriceAction #TradingView #GlobalMacro #GoldTrading
MNI UK Issuance Deep Dive: August 2026
📌 Refer to the publication for early budget expectations, BOE QT next steps and FQ3 preview.
👉 https://t.co/Kmy4BAC3Vh
...
#economics #globalmacro #financialmarkets #markets
#issuance #inflation

CBCX Markets Weekly Macro Outlook | 24-28 Aug
Key US data may shift Fed expectations and move USD & global assets. Jackson Hole & AU/CA inflation also in focus.
CBCX • Liquidity in Motion
#CBCXMarkets #CBCX #GlobalMacro #MarketOutlook #ForexTrading #MacroTrading #CBCXLiquidity

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Macro & Gold Specialist | Professional Insights Daily
@TamizhanCapital | Strategy is my Art, Markets are my Canvas
Follow for consistent macro breakdowns 🔥
#XAUUSD #GoldTrading #Forex #CrudeOil #DXY #TechnicalAnalysis #PriceAction #TradingView #GlobalMacro #GoldTrading
Japan’s 10Y JGB yield surging near 2.95% signals a global shift. Rising domestic yields risk pulling capital back to Japan, lowering US Treasuries demand and squeezing global debt markets. #GlobalMacro

US Treasury Buying More Long-Term Debt: WHAT COULD GO WRONG?!
#UST #USD #GlobalMacro #MarketOutlook #MarketTalk
Oman’s Hormuz Malacca-model proposal creates a massive binary crude trade. Smooth talks = lower oil, cooler inflation. Escalation = surging crude, delayed Fed cuts. Iran’s stance is the underpriced Q3 macro wildcard.
#CrudeOil #GlobalMacro

BREAKING🚨: Oman pushes explosive proposal: Run the Strait of Hormuz like the Strait of Malacca.
The West’s biggest nightmare — Iran unilateral control over global oil chokepoint — could be rewritten.
30% of the world’s seaborne crude flows through here.
✅ If deal lands: Long-term energy risks ease, bearish pressure on oil.
❌ If Iran rejects: Tensions surge, crude gets a huge bid.
Will Tehran agree? What’s Washington’s real position?
#StraitOfHormuz #CrudeOil #GlobalMacro #Geopolitics

Meet ATS Research.
Independent FX & Macro research — from daily market developments to actionable intelligence.
Built for market professionals.
Discover our research suite ↓
#FX #GlobalMacro #MacroResearch #Forex #Trading

As Tech Giants Initiate Massive Equity Offerings, a Frenzied Bull Market Faces a Microstructural Shift
#AsiaFutureTrading #AFTMarkets #GlobalMacro #RiskControl #AILiquidity
#USDebtCrisis #GlobalMacro
US Treasury market stands on the eve of systemic crisis. Backroom interest bargaining between Trump and Iran is laying fuse for the next global financial tsunami.
Core two-sided deal logic
Trump needs Iran to keep Strait of Hormuz open to cap crude prices, cool domestic inflation and ease upward pressure on US Treasury yields; Iran secures partial sanction relief in exchange for restricted nuclear concessions to resume large-scale oil exports. Negotiation hangs in precarious balance with two extreme outcomes controlling global markets.
1.Talks collapse scenario: Iran blocks Hormuz shipping lanes, crude could surge toward $150~$160/barrel, imported inflation spikes sharply, forcing Fed to maintain high interest rates permanently. Surging long-end Treasury yields triggers large-scale institutional dumping of US bonds, US $39T national debt risk fully exposed.
2. Deal finalized scenario: $Oil retreats sharply, inflation eases, Treasury yields fall back, high-valuation growth & tech stocks stage rebound.
Current market pricing signal
10Y US Treasury yield hovers around 4.47%, 30Y yield stays above critical 5% threshold; Wall Street funds aggressively pile into classic $NACHO trade: long crude oil + short US Treasuries to bet on negotiation breakdown. High PE semiconductor & AI stocks face persistent valuation compression amid elevated yields, while energy & commodity sectors gain strong defensive premium.
Domino effect chain: Spiking bond yields → equity market correction → emerging market currency depreciation & sovereign debt default risks, paving path for wide-ranging global financial turbulence.
Which asset are you positioning to hedge upcoming macro swings? Leave your view below👇
Not financial advice, only market research reference

The bond market has been under pressure for years. What’s changing now isn’t just yields — it’s who’s willing to hold the debt.
#Bonds #Treasuries #InterestRates #DebtCrisis #GlobalMacro #YieldCurve #Investing #DeDollarization
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