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Reading: Mounting Bets on Prolonged US Bond Rally Face Jobs-Information Reckoning
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StockWaves > Market Analysis > Mounting Bets on Prolonged US Bond Rally Face Jobs-Information Reckoning
Market Analysis

Mounting Bets on Prolonged US Bond Rally Face Jobs-Information Reckoning

StockWaves By StockWaves Last updated: July 2, 2025 6 Min Read
Mounting Bets on Prolonged US Bond Rally Face Jobs-Information Reckoning
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Bond merchants who quickly constructed up lengthy Treasuries positions in latest weeks are relying on Thursday’s jobs report to provide the market rally extra room to run.

June’s payrolls report, the subsequent main threat occasion for the bond bulls, is ready for launch simply in the future earlier than the Fourth of July vacation. Bullish bond traders have already confronted a mini-gut test after Tuesday’s JOLTS job openings report confirmed an surprising, steep improve for Could — an indication of labor market energy that ignited a bond market selloff. 

“The persistent lengthy construct continues in USTs,” Citi strategist David Bieber stated in a word, including that tactical positioning is now “extremely prolonged one-sided” after the build-up of bullish positions over the previous week. 

That may be seen in Treasury futures, the place CME open curiosity knowledge reveals merchants including to positions into the latest bond market rally, with newly established lengthy positions fueling the latest transfer decrease in yields. In US 10-year word contracts, open curiosity has climbed extensively over a interval when 10-year yields have dropped from above 4.4% to Tuesday’s 4.185% lows. In two-year word futures, open curiosity has risen over the previous 10 consecutive periods. 

The bullish momentum within the Treasury futures market can be enjoying out in choices. On Monday, a whopping $32 million of premium was spent on an possibility focusing on an additional rally in 10-year notes.

On the identical time, the one-sided lengthy place within the Treasuries market leaves worth motion open to potential revenue squeezes, as merchants could look to unwind ought to US labor market situations fail to justify a Federal Reserve interest-rate minimize as quickly as subsequent month. 

The market “is a bit lengthy front-end, with July minimize about 20% priced-in after latest language from Bowman and Waller,” stated Ed Al-Hussainy, world charges strategist at Columbia Threadneedle Funding. “The danger is it will fall to zero if employment surprises to the upside — say NFP near 200,000,” he added, referring to the employment report’s nonfarm payrolls element.

As such, there’s nonetheless demand for hedging exercise round doubtlessly greater yields. Tuesday’s motion within the Treasury market consists of one place trying to hedge a 10-year yield rebound to round 4.3% by the tip of Thursday’s session. 

In the meantime within the money market, there are additionally footprints of rising lengthy positions, as seen in Tuesday’s JPMorgan Treasury shopper survey which reveals outright lengthy positions climbed to probably the most in two weeks.

Right here’s a rundown of the most recent positioning indicators throughout the charges market:

JPMorgan Treasury Consumer Survey

Within the money market, JPMorgan Chase & Co.’s Treasury shopper survey for the week to June 30 confirmed lengthy positions rise two share factors, switching out of impartial with shorts unchanged. The outright lengthy place is now most elevated in two weeks. 

In SOFR choices throughout the Sep25, Dec25 and Mar26 tenors, there was a considerable amount of new threat seen within the 96.1875 strike with flows across the stage together with purchaser of SFRZ5 96.0625/96.1875/96.3125 name flies. There was additionally heavy exercise seen over the previous week within the 95.625 strike primarily as a consequence of giant shopping for within the SFRU5 95.75/95.625 1×2 put unfold commerce. 

The 95.625 strike stays hottest throughout Sep25, Dec25 and Mar26 choices, with a considerable amount of threat seen within the stage by way of Sep25 places and Dec25 places. Different populated strikes embrace 95.75 and 95.875, the place Sep25 places are outstanding. Latest flows in SOFR choices have included hedges towards a number of price cuts this 12 months by way of December upside buildings. 

Over the previous couple of weeks, Treasury choices skew has moved towards favoring calls throughout the strip, signaling merchants are actually paying a premium to hedge towards a much bigger bond rally versus a selloff, from the front-end out to the long-end of the curve. In Treasury choices, stand out flows on Monday included a $32 million premium name purchaser in September tenor. 

Hedge funds noticed a heavy quantity of quick overlaying in US 10-year word futures within the week as much as June 24, newest CFTC knowledge reveals. Elsewhere, asset managers liquidated internet longs in 10-year word futures, whereas including to length lengthy in extremely 10-year word futures. Largest positioning shift over the week noticed hedge funds cowl round $6.9m/DV01 to internet quick place in 10-year word futures. 

With help from Anya Andrianova.

This text was generated from an automatic information company feed with out modifications to textual content.

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