New York — United States financial markets reversed sharply on Friday, May 15, 2026, as a global bond sell-off and surging crude oil prices pushed long-term borrowing costs to their highest levels in years and knocked major equity indexes off record highs. The 30-year U.S. Treasury yield jumped 11 basis points to 5.125%, after breaking above the key 5% mark to reach its highest reading since June 2007, before the global financial crisis. The benchmark 10-year Treasury yield climbed 14 basis points to 4.599%, capping a 24 basis point rise over the week and tightening financial conditions for households and companies by lifting rates on mortgages, auto loans and corporate credit. The sell-off in U.S. bonds unfolded alongside a broad rise in global yields, with the United Kingdom’s 30-year gilt yield hitting its highest level since 1998 and Japan’s 30-year government bond yield reaching a record high after data showed a sharp pickup in producer prices. Equity markets pulled back from historic highs as investors reacted to the spike in borrowing costs and higher energy prices. By mid-to-late afternoon trading, the S&P 500 was down 1.08% at 7,437.42, the tech-heavy Nasdaq Composite fell 1.36% to 26,341.76, and the Dow Jones Industrial Average lost 0.98% to 49,647.96. The small-cap Russell 2000, whose constituents are typically more sensitive to financing costs, dropped 2.00%, the steepest decline among major benchmarks. In commodities, West Texas Intermediate crude for July delivery rose $3.14 to $100.06 a barrel, while Brent crude climbed above $107, extending a price surge driven by the disruption of oil shipments through the Strait of Hormuz since late February. The jump in yields and energy prices rippled across other asset classes, sending gold, silver and leading cryptocurrencies lower and pushing the CBOE Volatility Index up more than 7% to 18.50, signaling a marked increase in investor anxiety.
Prepared by Christopher Adams and reviewed by editorial team.
ارتفاع عوائد السندات يعني ارتفاع تكاليف الاقتراض. قد تصبح رهنك العقاري، أو قرض سيارتك، أو ائتمان عملك أكثر تكلفة. كما ارتفعت تكاليف الطاقة، لذا توقع أن تدفع المزيد عند محطة الوقود. تحقق من ميزانيتك وقم بالتعديل إذا لزم الأمر.
هذا تحول كبير في السوق، وليس مجرد تقلب ليوم واحد. إنه مدفوع بعوامل عالمية، وليس فقط أحداث أمريكية. راقب استثماراتك وفكر في التحدث إلى مستشار مالي. يستحق الإرسال إذا كنت تعرف شخصًا لديه قرض كبير أو محفظة استثمارية.
لم يتم تحديده في المصدر.
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ارتفاع عائدات الخزانة مع سيطرة بيع السندات العالمية على وول ستريت؛ سندات الخزانة الأمريكية لأجل 30 عامًا تصل لأعلى مستوى منذ عام 2007
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