S&P 5007,165+0.8%
Nasdaq24,837+1.6%
10Y UST4.31%-0.3%
DXY98.51-0.0%
WTI$94.40-1.5%
VIX18.71-3.1%
Gold$4,740.90+0.4%
Euro Stoxx 505,883-0.2%
EUR/USD1.1726+0.3%
S&P 5007,165+0.8%
Nasdaq24,837+1.6%
10Y UST4.31%-0.3%
DXY98.51-0.0%
WTI$94.40-1.5%
VIX18.71-3.1%
Gold$4,740.90+0.4%
Euro Stoxx 505,883-0.2%
EUR/USD1.1726+0.3%
LIVE

Funding & Money Mkts

CAUTION

Rates & Liquidity

3.66%
-2bp

SOFR (O/N) Trend

30D
3/283/293/303/314/14/24/34/44/54/64/74/84/94/104/114/124/134/144/154/164/174/184/194/204/214/224/234/244/263.653.6753.73.7253.75

Key Metrics

SOFR (O/N)

3.66%
-2bp

SOFR 30D Avg

3.67%
-1bp

SOFR 90D Avg

3.71%
+3bp

3M T-Bill

3.70%
-5bp

MMF Total AUM

6.8T$
+120B

Repo Volume

2.4T$
+8.3%

Key Insight

Flight-to-quality is accelerating MMF inflows. SOFR remains stable but funding stress could emerge if geopolitical risks persist. The ECB and BOJ are monitoring cross-border funding channels closely.

Related Signals

holdMaintain Cash / MMF Allocation

SOFR at 3.66% offers stable yield. Elevated uncertainty warrants higher cash allocation. Stay patient.

Cash management + Opportunity cost optimization+3.5~3.7%

Related Alerts

No active alerts for this sector.