Perzix Daily Market Brief: The Inflation Trade Becomes a Duration Test | “09 9, 2026”
Brent’s move above $100 is not just an energy story. With 10-year Treasury yields reported above 4.81% and equity futures softer, the more useful signal is the return of inflatio
Perzix Daily Market Brief: The Inflation Signal Beneath the Oil Move | “09 8, 2026”
The day’s headline was oil, but the deeper signal was inflation sensitivity returning to the front of the market. With futures softer and crude near psychologically important lev
Perzix Daily Market Brief: The Squeeze Beneath the Fed Pause | “09 7, 2026”
The latest market signal is not simply that Bitcoin rallied or that shorts were forced out. It is that risk assets remain highly sensitive to small changes in expected central-bank
Perzix Daily Market Brief: What the Market Heard in a Fed Pause Hint | “09 6, 2026”
A Fed pause hint helped stocks and crypto rally, while oil and bond yields complicated the message. The day’s lesson is less about instant conviction and more about how policy la
Perzix Daily Market Brief: What Risk Assets Heard From the Fed | “09 6, 2026”
A Fed pause signal helped stocks and crypto squeeze higher, but the deeper message is not a clean risk-on turn. The market is repricing policy optionality while oil and bond yields

