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International Bonds (BNDX) Stock Price Prediction and News Highlight
Mon. Nov 3, 2025

The price action of International Bonds (BNDX) asset class is shaped by numerous forces, ranging from broad macroeconomic trends to asset-specific performance and market structure. The overall sentiment for is positive (overall 1.5, positive 1.5, negative 0) on 20251103. The forces of Option Sentiment (1.5), Asset Sentiment (1.4), Asset Price Trend (0), and Price Level Sentiment (0) will drive up the price. The forces of and Price Level Sentiment (0) will drive down the price.

'Long' is the preferred trading strategy.

The sentiment for Asset Price Trend is calculated based on BNDX trend. The sentiment for Option Speculation is calculated from put/call ratio. Price Level sentiment is positive when oversold, and negative when overbought. Asset Sentiment scores are extracted from headlines and market commentary. All sentiment scores are normalized on a -10 - +10 scale.


DateAttentionAverage
Attention
PricePrice
Level
ChangeSMA10
Trend
Market
Sentiment
Trend
Sentiment
ActionAsset
Sentiment
News
Sentiment
2025-11-030%      0.4%      49.7      50      -0.3%      0%      1.5      0      Range      1.4      -2.3     
2025-11-022%      0.6%      2.2      1      Long      1.3      4.3     
2025-11-010%      0.3%      1.9      1      Long      0.7      2     
2025-10-310%      0.3%      49.85      70      0.12%      0%      0.7      -0.4      Range      0.3      0.3     
2025-10-301%      0.3%      49.79      61      0.06%      0%      0.5      -0.2      Range      -0.3      3.3     
2025-10-290%      0.3%      49.76      57      -0.28%      0%      0.2      -0.2      Range      -1      0.5     
2025-10-280%      0.3%      49.9      74      0.06%      0%      -0.1      -0.5      Short      -1.1      -1     
2025-10-271%      0.4%      49.87      82      0.18%      0%      -0.5      -0.6      Short      -1.4      2.5     
2025-10-260%      0.3%      0.2      1      Long      -2.6      -1     
2025-10-250%      0.3%      0.1      1      Long      -2.9      -8     
 
The sentiment scores are calculated in a -10 - +10 scale.
The price level reaches 100 at Bollinger upper band, and zero at lower band.
Range refers to range trade strategy. In an uptrend, the price will likely bullback after huge advance. As an investor, you may want to wait for the pullback to open long position. As a trader, you may consider tactical short. In a downtrend, the price will likely rebound after huge decline. As an investor, you may want to wait for the rebound to exit long position. As a trader, you may consider tactical long.

 
1 (-2) ECB Urges Caution on Synthetic SRTs in Securitization Overhaul The European Central Bank, wary of lenders’ over-reliance on synthetic risk transfers, is urging issuers to use other ways of securitizing assets, according to people familiar with the matter. (https://www.bloomberg.com/) Mon. Nov 3, 2025
2 (5) Alphabet Taps Dollar, Euro Bond Markets for Jumbo Debt Offering The Google parent is also seeking to raise €6.25 billion ($7.2 billion) in Europe’s debt market on Monday. Alphabet is marketing dollar-denominated notes, ranging from three to 50 years, according to a person familiar with the matter, who asked not to be identified discussing private matters. The offering is Alphabet’s first since April, when it also tapped markets on both sides of the Atlantic. (https://finance.yahoo.com/) Mon. Nov 3, 2025
3 (-7) Vanke Bonds Plunge as Biggest Backer Tightens Rescue Loan Terms China Vanke Co.’s bonds slumped after its state-owned shareholder pressed the developer to secure earlier loans with collateral — tightening financing terms just as Vanke reported a deeper third-quarter loss. (https://www.bloomberg.com/) Mon. Nov 3, 2025
4 (5) Pimco Bets on Australian Bond Rebound on Deeper RBA Rate Cuts Pacific Investment Management Co. is positioning for a rebound in Australian government bonds, betting the central bank will resume policy easing next year even as traders push back expectations for rate cuts. (https://www.bloomberg.com/) Sun. Nov 2, 2025
5 (3) Westpac profit dips but beats forecasts as bad debts remain low Westpac profit dips but beats forecasts as bad debts remain low (https://www.investing.com/) Sun. Nov 2, 2025
 
6 (8) UK Bonds’ Best Run in Two Years Is Winning Over Global Investors Gilts posted their best performance in almost two years, and investors including Aberdeen Group Plc, Fidelity International and JPMorgan Asset Management are betting on more gains. Goldman Sachs Group Inc. analysts have slashed their yield forecasts, citing easing inflation pressures and signs Chancellor Rachel Reeves will announce tough steps needed to get the budget in order. Expectations for more Bank of England interest-rate cuts are powering the move. (https://finance.yahoo.com/) Sun. Nov 2, 2025
7 (5) Troubled Nations Mount Comeback to Debt Markets Amid Yield Hunt Some of the world’s riskiest sovereign borrowers are returning to international debt markets, taking advantage of increasing appetite for yield to sell bonds. (https://www.bloomberg.com/) Sun. Nov 2, 2025


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