Market Wrap: Oil Shock and Fed Hold Extend Market Losses to Four Straight Weeks – Week of March 16, 2026
U.S. equities suffered their fourth consecutive week of losses as the ongoing U.S.-Israel-Iran war drove oil prices toward $100 per barrel, the Federal Reserve held rates steady, and gold posted its worst weekly performance since 2011. The Russell 2000 entered correction territory while the energy sector was the lone bright spot.
Market Wrap: Oil Shock and Stagflation Fears Rattle Markets – Week of March 9, 2026
U.S. equities posted their third consecutive week of losses as the Iran conflict disrupted global oil markets, sending WTI crude toward $100 per barrel. Stagflation fears mounted as Q4 GDP was revised down to 0.7% while PCE inflation rose to 3.1%. The FOMC meeting and Nvidia GTC conference headline the week ahead.
Market Wrap: Oil Shock and Geopolitical Turmoil Batter Stocks as Iran Conflict Escalates – Week of March 2, 2026
A turbulent week in financial markets as the U.S.-Iran conflict sent crude oil surging past $90 per barrel, the Dow posted its worst week in nearly a year, and a shocking jobs report showed payrolls falling 92,000 in February.
Market Wrap: AI Disruption and Inflation Fears Drive Broad Selloff – Week of February 24, 2026
U.S. markets ended the week lower as AI disruption fears, hotter-than-expected PPI inflation data, and renewed tariff uncertainty weighed on equities. The S&P 500 fell 0.81%, the Dow declined 1.62%, and the Nasdaq dropped 1.23%, capping a difficult February for tech stocks.
Market Wrap: Supreme Court Tariff Ruling Lifts Stocks, Nasdaq Snaps 5-Week Slide
U.S. stocks closed a tumultuous week on a high note Friday as the Supreme Court delivered a landmark ruling striking down President Donald Trump's...
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