   Treasury Yields Hit Multi-Year Highs, Dollar Surges                                 
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CFD 是复杂的工具，由于杠杆作用，存在快速亏损的高风险。78% 的散户投资者账户在与该提供商交易 CFD 时亏损。您应该考虑您是否了解 CFD 的运作方式，以及您是否有能力承担亏损的高风险。

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*   Treasury Yields Hit Multi-Year Highs, Dollar Surges

Treasury Yields Hit Multi-Year Highs, Dollar Surges
===================================================

The U.S. 10-year yield cracking 5.11% reshapes the risk calculus across every asset class heading into the European open.

Updated 06:03:57 24/09/2026

![Treasury Yields Hit Multi-Year Highs, Dollar Surges](https://assets.basitfx.com/cms/medium_34564218-c223-477d-9a5b-ebbf1214b879.jpg)

Higher Treasury Yields Put Markets on Watch
-------------------------------------------

US Treasury yields rose sharply on Wednesday, 23 September, as strong business surveys, renewed pressure from oil prices and a weak five-year note auction reinforced concerns about inflation and borrowing costs. Attention now turns to Thursday’s US jobless claims release at 12:30 UTC and the Trump-Xi meeting in Washington.

The five-year Treasury yield moved above 5% in secondary-market trading, while the 10-year traded around 5.1%. At Wednesday’s auction, the Treasury sold $70 billion of five-year notes at a yield of 5.033%, above the 5.002% quoted immediately beforehand.

The economic backdrop added to the pressure. September’s preliminary S&P Global Composite PMI rose to 58.4 from 56.0, signalling the fastest expansion in US business activity in more than five years. Input costs also rose at their fastest pace in nearly four years. Together, stronger activity and persistent price pressure strengthened the case for keeping monetary policy restrictive.

Higher US yields can weigh on equity valuations by increasing the rate used to discount future earnings. They can also make dollar assets more attractive, although currency movements depend on interest-rate expectations elsewhere. For borrowers with unhedged dollar debt and revenues in other currencies, a stronger dollar can increase the local-currency cost of servicing that debt.

Oil Rebounds as Supply and Diplomacy Pull in Different Directions
-----------------------------------------------------------------

Brent futures rose 3.86% on Wednesday to settle at $103.08 a barrel, while WTI gained 1.81% to $92.16. Prices recovered as Iranian President Masoud Pezeshkian told the UN General Assembly that Iran would not surrender to the United States, while also leaving room for diplomacy.

Supply developments provided a counterweight. Saudi Arabia had begun restoring operations on its East-West pipeline on Tuesday, according to Reuters, although a return to full capacity was expected to take longer. The pipeline provides a route to the Red Sea that bypasses the Strait of Hormuz.

The distinction matters for inflation expectations. Further disruption could add to energy costs, while improved export capacity or progress in negotiations could ease them. Wednesday’s rebound therefore came against a mixed backdrop, rather than a uniformly worsening supply outlook.

A Two-Month Trade Extension Leaves Work to Be Done
--------------------------------------------------

US Treasury Secretary Scott Bessent said the United States and China had agreed to extend their trade truce by two months, moving its expiry from 10 November 2026 to 10 January 2027. He described the extension as additional time to explore a broader agreement and called for China to fulfil more of its existing commitments.

President Donald Trump and President Xi Jinping are scheduled to meet at the White House on Thursday, 24 September. Reported discussions include reciprocal tariff reductions covering approximately $30 billion of goods on each side, alongside agricultural trade and other commercial issues. These remain potential outcomes rather than completed agreements.

Concrete measures could influence the yuan and companies exposed to US-China trade. The market response will depend on how much any announcement changes existing expectations, as well as whether it includes clear implementation dates.

US Jobless Claims at 12:30 UTC
------------------------------

US weekly initial jobless claims are scheduled for release on Thursday at 12:30 UTC. The consensus shown in economic calendars is around 201,000, compared with the previously reported 196,000. Forecasts can vary by provider, and the previous figure may be revised.

A lower-than-expected reading could reinforce the view that layoffs remain limited and that the Fed has room to maintain restrictive policy. A materially higher reading could support Treasury prices if it raises concerns about employment conditions. Neither outcome guarantees a particular move in yields, the dollar or equities.

Continuing claims, revisions and the four-week average will help put the headline number in context. Investors will also be weighing developments from the Trump-Xi meeting and changes in oil prices, making it difficult to attribute every market move to a single release.

### Risk Factors

*   Jobless claims at 12:30 UTC could affect interest-rate expectations, particularly if the release or revisions differ materially from forecasts.
*   Headlines from the Trump-Xi meeting may move currencies and equities before the scope and timing of any agreement become clear.
*   Oil remains sensitive to developments around Hormuz, diplomatic negotiations and the pace of Saudi pipeline restoration.
*   Further weak Treasury auctions could add to upward pressure on yields if investors demand greater compensation to absorb new issuance.
*   Fast markets can bring wider spreads, slippage and price gaps. Stop-loss orders may execute at a different price from the specified level.

This article does not constitute financial advice. It is intended for informational purposes only and should not be relied upon as the basis for any investment decision.

Past market behaviour is not indicative of future results. CFDs are leveraged instruments and carry a high risk of losing money.

SimpleFX Markets Desk - market context for active traders. Prepared for 24 September 2026 ahead of the 12:30 UTC jobless claims release. All times are UTC; market levels refer to the sessions specified.

*   [Higher Treasury Yields Put Markets on Watch](#higher_treasury_yiel)
*   [Oil Rebounds as Supply and Diplomacy Pull in Different Directions](#oil_rebounds_as_supp)
*   [A Two-Month Trade Extension Leaves Work to Be Done](#a_two-month_trade_ex)
*   [US Jobless Claims at 12:30 UTC](#us_jobless_claims_at)

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