Етикет: macro analysis
The Overburdened Debt Economy: How a $1 Trillion Sur...
The U.S. added $1T in new debt in just 82 days. Here’s how rising federal, ho...
Quick Market Wrap-Up: Fed Cut Bets Drive a Broad Ris...
U.S. markets rallied on November 25, 2025, as traders priced in a December Fe...
Pattern Nexus Podcast Episode 1 — Mapping the System...
The first-ever episode of the Pattern Nexus Podcast. Chris Grenke breaks down...
Can the 10-Year Treasury Predict Recessions? A 40-Ye...
A 40-year structural analysis of the US 10-Year Treasury futures market, show...
Risk-Off With No Headline: 11/20/2025 Market Wrap
A strange day in markets: everything sold off while the dollar barely moved. ...
The Weekly Market Wrap: The Week the 10-Year Stopped...
A volatile week across equities, bonds, commodities, and crypto. Stocks chopp...
Market Update — November 6, 2025: Volatility Surges,...
Markets extend yesterday’s weakness as tech sells off, volatility jumps, and ...
The End of the 40-Year Bond Supercycle: Why Rates Di...
The U.S. 10-year yield didn’t “go up” — the 40-year bond bull ended. This ana...