News Results

  1. US STOCKS-Wall Street mixed as Treasury yields ease, oil prices retreat
    Reuters | 10:38 AM EDT

    * Indexes: Dow up 0.3%, S&P 500 up 0.04%, Nasdaq off 0.1% * Dominion Energy (D) rises on NextEra deal. * Regeneron slides after skin cancer drug combo misses trial goal. By Ragini Mathur and Utkarsh Hathi. U.S. stock indexes were mixed in choppy trading on Monday even though the bond-market selloff that had pressured equities last week showed signs of cooling and oil prices pulled back.

  2. PRECIOUS-Gold rises as dollar, oil weaken; eyes on Middle East developments
    Reuters | 10:02 AM EDT

    * Benchmark 10-year U.S. Treasury yields at highest since Feb 2025. * JPMorgan cuts 2026 gold price view. By Anjana Anil. Gold rose on Monday as a weaker U.S. dollar and lower crude oil prices eased some inflation concerns though higher bond yields curbed bullion's gains while investors continued to monitor developments in the Middle East conflict.

  3. TREASURIES-Yields on longer-dated bonds hit year-plus highs overnight
    Reuters | 09:18 AM EDT

    Yields on longer-dated Treasury notes climbed to their highest levels in over a year in overnight trading amid a global market selloff in longer-dated bonds driven by war-related inflation concerns. The yield on the benchmark 10-year Treasury note climbed to 4.631% in overnight trading, its highest level since February 2025.

  4. US STOCKS-Wall Street futures slip as higher yields, oil prices weigh
    Reuters | 07:48 AM EDT

    * Futures down: Dow 0.7%, S&P 500 0.4%, Nasdaq 0.4% * Dominon Energy rises on report of NextEra talks. * UnitedHealth (UNH) slips after Berkshire Hathaway (BRK/A) sells stake. By Ragini Mathur and Utkarsh Hathi. U.S. stock index futures edged lower on Monday as rising Treasury yields and oil prices weighed, while investors awaited key earnings from Nvidia (NVDA) and Walmart (WMT) later in the week.

  5. US Equity Investors to Stay Glued to Treasury Yields as Crude Oil Gains Likely to Make Inflation Worse
    MT Newswires | 06:50 AM EDT

    US equity investors will remain focused on President Donald Trump's attempts to force Iran to reopen the Strait of Hormuz as the 30-year Treasury yield traded at a 28-year high amid inflation concerns and Nvidia's (NVDA) quarterly results.

  6. Wall Street mixed as Treasury yields ease, oil prices retreat
    Reuters | 06:16 AM EDT

    U.S. stock indexes were mixed in choppy trading on Monday even though the bond-market selloff that had pressured equities last week showed signs of cooling and oil prices pulled back. The 10-year Treasury yield, the benchmark for global borrowing costs, fell to 4.573%, having climbed as much as 4.631% to its highest level since February 2025 earlier in the session.

  7. US STOCKS-US stock futures slip as yields, oil prices climb
    Reuters | 06:15 AM EDT

    * Futures down: Dow 0.6%, S&P 500 0.3%, Nasdaq 0.09% U.S. stock index futures edged lower on Monday as rising Treasury yields and oil prices weighed on equity markets, while investors awaited key earnings from Nvidia (NVDA) and Walmart (WMT) later in the week.

  8. PRECIOUS-Gold edges higher from over 1-1/2-month low but higher yields cap gains
    Reuters | 05:26 AM EDT

    * US 10-year Treasury yields rise to their highest since February 2025. * Brent rises above $110/bbl on fresh Middle East tensions. * Traders see 40% chance of a US interest rate hike in December. By Noel John.

  9. Global bond rout deepens as prolonged Iran war heightens inflation risk
    Reuters | 01:52 AM EDT

    * U.S. Treasury yields hit one-year peaks; JGB yields scale record highs. * Renewed tensions in Middle East keep investors worried about inflation, growth risks. * Japan likely to issue fresh debt to deal with impact from Iran war. * Investors ramp up bets of global rate hikes. * British gilts outperform on Monday after selloff last week. By Alun John and Amanda Cooper.

  10. Bitcoin slides under $77,000 as oil shock and Treasury yields hit risk assets
    Coindesk | 05/17/26 11:52 PM EDT

    Long-term holders are still sitting tight and exchange balances remain near six-year lows, Binance Research data shows, but underwater short-term holders leave BTC vulnerable to macro shocks.

In general the bond market is volatile, and fixed income securities carry interest rate risk. (As interest rates rise, bond prices usually fall, and vice versa. This effect is usually more pronounced for longer-term securities.) Fixed income securities also carry inflation risk and credit and default risks for both issuers and counterparties. Unlike individual bonds, most bond funds do not have a maturity date, so avoiding losses caused by price volatility by holding them until maturity is not possible.

Lower-quality debt securities generally offer higher yields, but also involve greater risk of default or price changes due to potential changes in the credit quality of the issuer. Any fixed income security sold or redeemed prior to maturity may be subject to loss.

Before investing, consider the funds' investment objectives, risks, charges, and expenses. Contact Fidelity for a prospectus or, if available, a summary prospectus containing this information. Read it carefully.

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