hedge
67 financial instruments with the economic role "hedge" on Barfinex.
bondsUS 10-Year Treasury YieldUS10YThe world's risk-free rate — prices everything from mortgages to corporate bonds across the globe.
bondsUS 2-Year Treasury YieldUS2YFed policy expectations barometer — the rate that moves first on FOMC signals and dot plots.
bondsUS 30-Year Treasury YieldUS30YLongest US government bond — generational inflation expectations, pension demand and fiscal sustainability.
bondsUS 5-Year Treasury YieldUS5YMid-curve Treasury benchmark — inflation breakeven anchor and intermediate-term rate expectations.
commoditiesGoldXAUTimeless store of value — central bank reserves, inflation hedge and crisis safe haven for 5000 years.
commoditiesSilverXAGDual-nature precious metal — monetary safe haven meets industrial demand in solar panels and electronics.
equitiesNorthern Star ResourcesNSTOne of Australia's largest gold producers.
fxAUD/CADAUDCADCommodity-linked cross reflecting Australian mining exports vs. Canadian oil-driven economy.
fxAUD/CHFAUDCHFRisk-sensitive pair: Australian commodities beta vs. Swiss franc safe-haven demand.
fxAUD/JPYAUDJPYClassic risk barometer pairing Australian carry yield against Japanese low-rate funding.
fxAUD/NZDAUDNZDTrans-Tasman pair driven by dairy vs. mining terms of trade and RBA/RBNZ policy divergence.
fxCAD/CHFCADCHFOil-linked Canadian dollar vs. Swiss franc safe haven — sensitive to crude and risk appetite.
fxCAD/JPYCADJPYEnergy-carry cross: Canadian oil revenues vs. Japanese low-yield funding dynamics.
fxCHF/JPYCHFJPYLow-volatility safe-haven pair: two refuge currencies with SNB and BOJ policy contrast.
fxEUR/AUDEURAUDECB policy vs. RBA commodity sensitivity — reflects European growth divergence from Asia-Pacific.
fxEUR/CADEURCADEurozone industrial cycle vs. Canadian energy exports and oil price dynamics.
fxEUR/CHFEURCHFEuropean monetary union vs. Swiss safe haven — barometer of Eurozone stability and SNB intervention.
fxEUR/CZKEURCZKEurozone anchor vs. Czech koruna — EU convergence trade and CNB rate policy proxy.
fxEUR/GBPEURGBPBrexit-era cross: ECB vs. Bank of England divergence, EU-UK trade and capital flow barometer.
fxEUR/HUFEURHUFEurozone stability vs. Hungarian high-carry forint — EM convergence and MNB rate policy.
fxEUR/NZDEURNZDEuropean economy vs. New Zealand dairy-driven commodity currency and RBNZ rate cycle.
fxEUR/PLNEURPLNEurozone core vs. Polish zloty — EU convergence, NBP policy and CEE risk sentiment gauge.
fxEUR/RONEURRONEuro vs. Romanian leu — EU accession dynamics, BNR intervention and Balkan risk proxy.
fxEUR/USDEURUSDWorld's most traded pair: Fed vs. ECB policy, transatlantic capital flows and global reserve dynamics.
fxGBP/AUDGBPAUDSterling vs. commodity Aussie — UK services economy against Australian mining and China demand.
fxGBP/CADGBPCADUK financial services economy vs. Canada's oil-linked dollar and BOC rate decisions.
fxGBP/CHFGBPCHFPost-Brexit sterling vs. Swiss safe haven — UK macro risk and SNB floor dynamics.
fxGBP/NZDGBPNZDUK services economy vs. New Zealand agricultural exports and RBNZ-BOE policy spread.
fxGBP/USDGBPUSDCable — historic major pair driven by Fed-BOE divergence, UK fiscal outlook and City capital flows.
fxGBP/ZARGBPZARSterling vs. South African rand — high-carry EM cross sensitive to gold prices and load-shedding risk.
fxNZD/CADNZDCADDairy-exporting kiwi vs. oil-exporting loonie — agricultural vs. energy commodity divergence.
fxNZD/JPYNZDJPYHigh-carry kiwi vs. low-yield yen — popular carry trade sensitive to risk-on/risk-off shifts.
fxUSD/AEDUSDAEDDirham peg proxy — reflects UAE oil revenues, dollar liquidity and Gulf geopolitical dynamics.
fxUSD/BDTUSDBDTDollar vs. Bangladeshi taka — textile exports, remittance flows and Bangladesh Bank reserves.
fxUSD/BRLUSDBRLDollar vs. Brazilian real — Selic carry, commodity exports, fiscal risk and LatAm sentiment gauge.
fxUSD/CADUSDCADLoonie pair — oil price correlation, US-Canada trade integration and BOC-Fed rate dynamics.
fxUSD/CHFUSDCHFDollar vs. franc safe haven — geopolitical risk barometer and SNB intervention benchmark.
fxUSD/CLPUSDCLPDollar vs. Chilean peso — copper-price driven, mining investment cycles and BCCh policy.
fxUSD/CNHUSDCNHOffshore yuan — China growth, PBOC guidance, trade tensions and global de-dollarization proxy.
fxUSD/COPUSDCOPDollar vs. Colombian peso — oil-dependent, remittance-driven with BanRep rate intervention.