Oil spikes, inflation looms, and Kevin Warsh leads his second Fed meeting. Here's what mortgage professionals need to watch.
Bond volatility surges to its highest level since June. Bill Bodnar explains why markets may already be looking beyond the Fed.
Geopolitics usually helps bonds—but surging oil changed the script. Bill Bodnar explains what mortgage pros should watch now.
The 10-year breaks 4% and mortgage rates dip under 6%. Now all eyes turn to Friday’s jobs report.
Weak GDP, hotter Core PCE, and a looming Supreme Court tariff ruling. Bill Bodnar explains what could shake mortgage rates next.
The 10-year is battling the crucial 4.20% line. Bill Bodnar explains why this week’s jobs report and CPI could decide what’s next.
A potential new Fed chair could reshape rates, QE, and growth policy. Bill Bodnar explains why markets are already paying attention.
Global uncertainty, spiking yields, and a Fed meeting ahead. Bill Bodnar explains what could finally move mortgage rates.
Talk of MBS buying, Wall Street limits, and housing supply sparks rate moves. Bill Bodnar explains what’s real — and what’s not.