Mark July 29 on the calendar. That is the next scheduled FOMC decision, and according to JPMorgan Asset Management CIO Bob Michael, every Fed meeting is now liveMark July 29 on the calendar. That is the next scheduled FOMC decision, and according to JPMorgan Asset Management CIO Bob Michael, every Fed meeting is now live

Circle Your Calendars for July 29. JPMorgan Executive Says Fed Chair Kevin Warsh Could Raise Rates in As Little as Six Weeks.

2026/06/22 20:01
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The post Circle Your Calendars for July 29. JPMorgan Executive Says Fed Chair Kevin Warsh Could Raise Rates in As Little as Six Weeks. appeared first on 24/7 Wall St..

  • JPMorgan Asset Management CIO Bob Michael warned that new Fed Chair Kevin Warsh's first meeting delivered a "jolt" to markets.
  • Core PCE inflation hit 129.63 in April 2026, the highest 12-month reading, providing Warsh cover for potential rate hikes despite Michael's view that inflation could peak in May.
  • The July 29 FOMC meeting will test Michael's 10-year Treasury (IEF) forecast of a 4.20% to 4.58% range, with a surprise hike most pressuring long-duration bonds like TLT.
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Mark July 29 on the calendar. That is the next scheduled FOMC decision, and according to JPMorgan Asset Management CIO Bob Michael, every Fed meeting is now live for a potential rate hike, including the one roughly six weeks away. Michael told CNBC’s Closing Bell Overtime that new Fed Chair Kevin Warsh‘s first meeting delivered “quite a jolt” to markets, with the number of Fed officials projecting a rate hike this year jumping from zero to nine in just six weeks.

That is the setup investors are pricing right now. The federal funds rate upper bound currently sits at 3.75%, unchanged since December 10, 2025, after 75 basis points of cuts from the September 2025 peak of 4.5%. A hike at the next meeting would mark an abrupt reversal. Polymarket traders currently put 26.15% odds on a hike by the July 2026 meeting, climbing to 43% by September and 53% by October.

Warsh Tears Up the Script

Michael said Warsh signaled he would be “tearing up the script” on Fed communications and launching task forces across five major workstreams. Michael pushed back on the transparency rollback: “I don’t understand why rolling back transparency is either good for market participants or for the Federal Reserve in terms of trying to manage the volatility and backstop the banking system.” Coverage of Michael’s appearance is available via CNBC’s Closing Bell franchise.

The inflation backdrop gives Warsh cover. Core PCE, the Fed’s preferred gauge, hit 129.63 in April 2026, the highest reading in the 12-month window. Michael thinks inflation could peak in May, but cautioned that confirming data will not be available for some time.

Treasuries: IEF and TLT in the Crosshairs

Michael’s call: the 10-year Treasury trading in a 4.20% to 4.58% range, with bonds already repriced ahead of the FOMC. The 10-year closed at 4.49% on June 17, squarely inside that band.

The iShares 7-10 Year Treasury Bond ETF (NASDAQ:IEF) is the cleanest expression of that range view. Shares trade near $94.36, down roughly 0.27% year-to-date but up about 1.68% over the past month and 3.7% over the past year.

Long duration carries more risk if Warsh actually moves. The iShares 20+ Year Treasury Bond ETF (NASDAQ:TLT) sits at $86.75, up about 1.41% year-to-date and 4.9% over the past month, but down about 29.55% over the past five years. A surprise hike would pressure TLT hardest.

Credit Holds Up: LQD

Michael said corporate credit looks “fine” given the yield available. The iShares iBoxx $ Investment Grade Corporate Bond ETF (NYSEARCA:LQD) backs up that view, trading at $109.07, up about 0.88% year-to-date and 5.6% over the past year. Investment-grade spreads have absorbed the hawkish shift without dislocation.

Oil and Energy Equities

On crude, Michael sees prices stabilizing in the mid-$70s to $80 per barrel, a level he views as manageable for inflation. WTI closed at $84.65 on June 15, after a 22.3% monthly decline from the April peak.

The United States Oil Fund (NYSE:USO) trades at $114.87, up about 66.09% year-to-date but down about 24.9% over the past month and 10.84% over the past week. That pullback is exactly the move toward Michael’s stabilization zone.

The Energy Select Sector SPDR Fund (NYSEARCA:XLE), led by Exxon Mobil at 23.7% and Chevron at 17.6%, sits at $53.77, up about 21.04% year-to-date but down 12.27% over the past month. Read the XLE fact sheet for full holdings detail.

What to Watch on July 29

The setup: a new Chair who has signaled hawkish intent, a Core PCE index at cycle highs, a 2-year yield at 4.20%, near its 12-month peak, and a VIX that just popped to 18.44, a 12.4% one-day jump. Michael’s framing places the burden of proof on bond bulls. The 10-year range holds until it does not, and July 29 is the date that tests it.

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The post Circle Your Calendars for July 29. JPMorgan Executive Says Fed Chair Kevin Warsh Could Raise Rates in As Little as Six Weeks. appeared first on 24/7 Wall St..

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