Free Trial

Most of the action remains in Govies


BLOCK, 2Y Sale


Call Condor buyer


Post-LIBOR Settle Update: Hike Re-Pricing Moderates


European Coal Prices Soaring

Real-time Actionable Insight

Get the latest on Central Bank Policy and FX & FI Markets to help inform both your strategic and tactical decision-making.

Free Access

(H18) Recovers But Still.......>

US 30YR FUTURE TECHS: (H18) Recovers But Still Below Key 154-23/154-26 Area
*RES 4: 155-08 61.8% Fibo of 158-09/150-10
*RES 3: 155-04 Sep 25 high, 1% volatility band
*RES 2: 154-23/26 76.4% 156-14/149-07, November highs
*RES 1: 154-15/18 Dec 15, Dec 6 highs
*PRICE: 153-30 @1205GMT
*SUP 1: 153-14/22 Hourly support, Dec 15 low
*SUP 2: 153-04 Dec 14 low
*SUP 3: 152-22/25 Congestion area Dec 8-Dec 13
*SUP 4: 152-05 Dec 12 low
*COMMENTARY* A bounce from Tuesday's 152-05 low and through the 76.4% Fibo
retrace level at 154-00 but as yet and importantly the 154-23/154-26 resistance
area remains intact. Will need to circumvent resistance from here, if the latest
rise is not to prove just corrective. Meanwhile, support comes initially from
153-22/153-04, with the 153-25/153-22 area of more consequence below. Loss of
the latter will disappoint now.

To read the full story

Why Subscribe to

MNI is the leading provider

of news and intelligence specifically for the Global Foreign Exchange and Fixed Income Markets, providing timely, relevant, and critical insight for market professionals and those who want to make informed investment decisions. We offer not simply news, but news analysis, linking breaking news to the effects on capital markets. Our exclusive information and intelligence moves markets.

Our credibility

for delivering mission-critical information has been built over three decades. The quality and experience of MNI's team of analysts and reporters across America, Asia and Europe truly sets us apart. Our Markets team includes former fixed-income specialists, currency traders, economists and strategists, who are able to combine expertise on macro economics, financial markets, and political risk to give a comprehensive and holistic insight on global markets.