July payrolls fell 23,000, not rose 85K. S&P 500 posted its best week since April at a record 7,757.64 as Fed hike odds hold near 62%.
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VIX falls 4.17% to 15.15 as Q2 productivity jumps 1.4%. Fed hike odds hit 81% for Sept 16 after 9-3 hold vote, dissenters wanted a hike.
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SpaceX's 911.5M-share lockup hit as CME FedWatch prices an 81% chance of a Fed hike, not a cut, for the September 16 FOMC meeting.
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Crypto ETFs attract $265M in inflows, BTC leads, while VIX dips to 16.37 and stock sentiment turns greedy. Market snapshot.
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S&P 500 closed July at 7,489.72 as the Fed held at 3.50%-3.75% on a 9-3 vote, with AAL insider selling and a Congress buy in TSM.
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Cumulative volume delta tracks the running difference between aggressive buying and selling. Here is how it is calculated, why divergence is a filter and not a trigger, and what Bitcoin's own CVD is showing right now.
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BTC ETFs saw $265M in outflows Friday, mega wallets went net short, and the week ahead brings ISM, jobs data and Fed dissent fallout.
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Fed holds at 3.50-3.75%, 10-year yield tops 4.70%, BOJ at 1%, and Amazon's AWS surge headlines the week of July 27-31, 2026.
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VIX plunges 17% as equities rally; Fed hikes loom. Short-term yields rise, dollar weakens. Crypto fear persists amid liquidation spikes.
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SPY max pain sits at 741 with $52,852 in call losses at that strike. VIX jumped 13% to 20.66 as crude oil inventories fell 7.2M barrels and Fed hike odds hit 57%.
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Bitcoin ETFs lost $11.6M on July 28 as Ether drew $9.2M, crypto liquidations topped $700M, and Fear and Greed held at 29 before the Fed decision.
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Core capital goods orders rose 0.9% in June, beating forecasts, as durable goods orders climbed 0.3% to $334.8 billion into FOMC week.
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June durable goods orders print at 8:30 AM ET today. Semiconductors have fallen 18% in July as markets price the Fed's July 29 rate decision.
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Options flow is a live stream of executed trades, not a signal by itself. Learn which side paid up, why size alone means nothing, and how to read a print.
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Fear dominates equities as VIX rises, yields dip, and the Fed holds a cautious watch amid market uncertainty.
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Tesla fell 14.5% on a Q2 margin miss, Brent crude hit $100 after Houthi tanker attacks then faded, and stocks closed a losing week. Recap: July 20-24, 2026.
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ECB held at 2.25% on July 23. USD/JPY hit a 40-year high near 164 as EUR/USD and GBP/USD slipped on cooling Fed-cut odds and $100 oil.
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ECB rate decision today, USD/JPY near a 40-year low, EIA crude inventories build 2M barrels, and CFTC positioning across EUR, GBP, JPY, NZD.
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S&P, Dow and Nasdaq snap a 3-day losing streak, Fed hold odds hit 83.4%, and a new Houthi blockade at Bab al-Mandab adds a second oil chokepoint alongside Hormuz.
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Bitcoin ETFs pulled in $84.4M Monday as Crypto Fear & Greed fell to 25. VIX at 18.65, June LEI down 0.2%, crude stocks fall 1.7M barrels.
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