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China’s rumored $200B Treasury sell-off is a financial warning global markets can’t ignore. In this video, we break down what a move like this could mean for U.S. yields, Treasury auctions, dollar strength (DXY), and worldwide liquidity. You’ll see the full chain reaction: foreign reserve shifts, term premium pressure, funding-market stress, and spillovers into stocks, credit, gold, and silver. We separate headline fear from real market mechanics, highlight the indicators that matter most, and explain how to read confirmation signals before volatility spikes. Stay to the end for a practical scenario map and a clear risk checklist for investors and traders. *Timelapse (26:35)* 00:00 The $200B sell-off headline: signal or noise? 02:20 How Treasury selling affects yields and prices 05:35 Auction dynamics: demand, bid-to-cover, tails 08:40 DXY and global FX stress transmission 11:25 Liquidity, repo, and funding-market pressure points 14:30 Equities and credit: risk-on/risk-off pathways 17:20 Gold & silver response under yield shocks 20:10 What confirms escalation vs stabilization 23:00 Scenario map: base, stress, and reversal cases 25:30 Final checklist + actionable takeaways *Hashtags* #China #Treasuries #BondMarket #USTreasury #Dollar #DXY #Yields #Liquidity #Repo #Macro #Macroeconomics #Gold #Silver #CreditMarkets #StockMarket #RiskManagement #Investing #MarketNews #FinancialWarning #Geopolitics *Keywords* China Treasury sell-off, $200B Treasury sell-off, US Treasury market warning, bond yields surge, Treasury auction demand, bid to cover ratio, auction tail risk, DXY dollar strength, global liquidity stress, repo market pressure, foreign reserve diversification, term premium rise, bond market volatility, equity credit spillover, gold silver reaction, macro risk signals, financial warning analysis, market scenario map, risk management checklist, macro investing strategy