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US 30 Year T-Note Futures - Sep 24 (USc2)

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114.53 +0.69    +0.60%
16:18:43 - Delayed Data. Currency in USD ( Disclaimer )
  • Prev. Close: 114.53
  • Open: 113.94
  • Day's Range: 113.81 - 115.19
Type:  Financial Future
Market:  United States
Month:  Sep 24
US 30Y T-Bond 114.53 +0.69 +0.60%

US 30 Year T-Bond Futures Recent Sentiments

 
Get information on users’ sentiments for the US 30 Year T-Bond Futures price, which are displayed both on CFDs charts of different periods of time and a detailed table.
Start Date Username Call Open Rate End Date Chg. %
Feb 15, 2024 William Schulke   119.19 Feb 19, 2024 @ 118.28 -0.76%
Dec 04, 2023 Misha Gventsadze   117.50 Dec 29, 2023 @ 125.19 +6.54%
Nov 28, 2023 Suhar Yanto   116.06 Dec 22, 2023 @ 124.31 +7.11%
Oct 30, 2023 Trading Desk   109.31 Nov 08, 2023 @ 115.38 -5.55%
Oct 10, 2023 Rodrigo Cardoso   112.03 Nov 30, 2023 @ 117.38 +4.77%
Oct 02, 2023 Suhar Suhar   113.38 Nov 30, 2023 @ 117.38 +3.52%
Sep 13, 2023 Suhar Yanto   119.22 Nov 30, 2023 @ 117.38 -1.55%
Sep 01, 2023 Khaled Manna   121.38 Nov 30, 2023 @ 117.19 +3.45%
Jul 19, 2023 عبدالله نيلز   127.88 Nov 30, 2023 @ 117.38 -8.21%
Jun 25, 2023 متعب السبيعي   128.00 Nov 30, 2023 @ 117.19 +8.45%
Jun 19, 2023 Aik Khay Jom   127.38 Jun 19, 2023 @ 127.38 0.00%
Jun 19, 2023 Aik Khay Jom   127.38 Jun 19, 2023 @ 127.38 0.00%
Jun 19, 2023 Aik Khay Jom   127.41 Jun 19, 2023 @ 127.41 0.00%
Dec 15, 2022 Adi Sutrisnoid   132.25 Jan 06, 2023 @ 128.31 -2.98%
Nov 30, 2022 성화 홍   128.16 Dec 23, 2022 @ 129.62 +1.14%
Sep 06, 2022 Mohamed Dieng   132.31 Sep 30, 2022 @ 126.81 +4.16%
Aug 31, 2022 Grim Lock   135.00 Sep 23, 2022 @ 128.78 +4.61%
May 25, 2022 Geonwoong Park   140.81 Jun 15, 2022 @ 132.22 +6.10%
Nov 30, 2021 Mohamed Nasser   160.53 Dec 24, 2021 @ 162.56 +1.27%
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US 30Y T-Bond Futures Discussions

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Mark Mcdonell
Mark Mcdonell Dec 09, 2022 18:18
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All my long term us bond funds are down 3 percent plus.  i would like to know what triggered the selling
common sense
common sense Dec 09, 2022 18:18
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fixed income functions completely differently. your bond funds sold off a bunch of low yield bonds and exchanged them for a higher rate. this devalued the NAV in the short term but increased the expected return in the future. you have less principal and more cash flow now, its just a repricing
 
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