Sunday, 14 June 2026 | 07:00 UTC
Global risk sentiment remains constructive with SPX gaining 0.50% and VIX holding at calm levels (17.7), suggesting stable equity conditions. The elevated US10Y at 4.49% continues to pressure risk assets, while the neutral macro bias indicates no immediate directional catalyst from traditional markets. Key risk today is continued institutional distribution as evidenced by heavy BTC ETF outflows.