Keyword → inflation

Federal Reserve Holds Rates at 3.50%–3.75%, Flags Sticky Inflation and Iran War Uncertainty; Markets Sell Off on Powell's Hawkish Tone

Mar 19, 2026

negative

Federal Reserve Holds Rates at 3.50%–3.75%, Flags Sticky Inflation and Iran War Uncertainty; Markets Sell Off on Powell's Hawkish Tone

The Federal Reserve voted 11-1 to keep its benchmark rate unchanged at 3.50%–3.75% on Wednesday, while its updated dot plot showed only one rate cut projected for all of 2026 and Chair Jerome Powell delivered a more hawkish-than-expected press conference that rattled markets. The Dow fell 768 points to its lowest close since November, as investors processed Powell's warning that higher energy prices could reignite inflation and that the Fed had 'not made as much progress on inflation as hoped.'

GSJPMBACCWFC +25 more
Gold Trades Near $4,571 as Stagflation Fears and Iran War Escalation Drive Safe-Haven Surge; J.P. Morgan Targets $5,055 by Year-End

Mar 19, 2026

positive

Gold Trades Near $4,571 as Stagflation Fears and Iran War Escalation Drive Safe-Haven Surge; J.P. Morgan Targets $5,055 by Year-End

Gold is trading near $4,571 per ounce on Thursday, having rallied sharply from under $3,000 earlier in 2025, as the Iran war, a hawkish Federal Reserve, and rising stagflation fears combine to make bullion one of the most compelling safe-haven assets in the current environment. J.P. Morgan Global Research is targeting $5,055 per ounce by year-end 2026, while some models project a path toward $6,500 if the energy crisis deepens and real yields fall as growth deteriorates.

Hot PPI Data Rattles Wall Street as Wholesale Inflation Surges 0.7% in February, Doubling Expectations

Mar 18, 2026

negative

Hot PPI Data Rattles Wall Street as Wholesale Inflation Surges 0.7% in February, Doubling Expectations

The Bureau of Labor Statistics reported Wednesday that the Producer Price Index jumped 0.7% in February — more than double the 0.3% consensus estimate — pushing annual wholesale inflation to 3.4%, its highest level in a year. The hotter-than-expected reading, driven by a 48.9% spike in vegetable prices and broad goods inflation of 1.1%, arrived hours before the Federal Reserve's rate decision and reignited stagflation fears across equity and bond markets.

GSJPMBACCWFC +25 more
Investors Brace for Federal Reserve Signals as Policy Meeting Approaches

Mar 16, 2026

neutral

Investors Brace for Federal Reserve Signals as Policy Meeting Approaches

Global investors are closely watching the Federal Reserve’s upcoming policy meeting as markets grapple with rising oil prices and lingering inflation concerns. The central bank’s updated economic projections and interest-rate outlook are expected to shape market expectations for monetary policy through the remainder of 2026. Equity markets remain sensitive to any signal about the timing of potential rate cuts or the possibility that policymakers could maintain a higher-for-longer stance if inflation proves stubborn.

JPMBACGSMSWFC +20 more
Oil Above $100 as Middle East Conflict Jolts Global Markets and Boosts Energy Shares

Mar 13, 2026

positive

Oil Above $100 as Middle East Conflict Jolts Global Markets and Boosts Energy Shares

Crude oil surged past $100 a barrel Friday as geopolitical tensions in the Middle East continued to disrupt shipping and energy flows, triggering volatility across global markets. Energy producers rallied while airlines, transport firms and consumer companies faced mounting cost pressures. Investors are increasingly rotating into oil majors, defense contractors and commodity-linked equities as the geopolitical risk premium expands and markets adjust to the possibility of prolonged supply disruptions.

U.S. Stocks Rebound as Oil Pullback Sparks Short-Term Relief Rally

Mar 13, 2026

positive

U.S. Stocks Rebound as Oil Pullback Sparks Short-Term Relief Rally

U.S. equities staged a tentative rebound Friday as oil prices eased slightly after a sharp geopolitical-driven rally earlier in the week. Investors cautiously returned to risk assets as energy markets stabilized, though uncertainty surrounding the Middle East conflict continues to cloud the outlook for inflation, monetary policy and corporate earnings.

Q4 GDP Revised Sharply Down to 0.7% as Stagflation Risk Mounts Ahead of Fed Meeting

Mar 13, 2026

negative

Q4 GDP Revised Sharply Down to 0.7% as Stagflation Risk Mounts Ahead of Fed Meeting

The U.S. Bureau of Economic Analysis revised fourth-quarter 2025 GDP growth to just 0.7% on Friday, down sharply from the prior estimate of 1.4% and well below Wall Street's 1.5% consensus forecast. Paired with January core PCE inflation running at 3.1%, the data sharply raises stagflation concerns just days before the Federal Reserve's next policy meeting, where rate cuts now appear increasingly unlikely.

JPMBACWFCCGS +22 more
U.S. Inflation Data Meets Expectations but Leaves Federal Reserve Path Uncertain

Mar 12, 2026

neutral

U.S. Inflation Data Meets Expectations but Leaves Federal Reserve Path Uncertain

The latest U.S. inflation report showed consumer prices rising broadly in line with expectations, offering markets a temporary sense of stability. However, economists warn that energy price volatility and geopolitical risks could complicate the Federal Reserve’s policy outlook, leaving investors uncertain about the timing and magnitude of future interest rate decisions.

JPMBACGSMSWFC +20 more
Fed Faces Stagflation Dilemma as Energy Shock Threatens to Reaccelerate CPI Ahead of March 18 Decision

Mar 12, 2026

negative

Fed Faces Stagflation Dilemma as Energy Shock Threatens to Reaccelerate CPI Ahead of March 18 Decision

With the Federal Reserve's March 17-18 FOMC meeting days away, policymakers face a sharpening stagflation dilemma: February CPI held steady at 2.4% annually, but surging oil prices threaten to reaccelerate headline inflation in March and beyond. Markets widely expect the Fed to hold rates at 3.5%–3.75%, though the energy shock could delay any 2026 rate cuts further into the year.

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What we cover

STKMRKT publishes daily stock market news covering earnings reports, pre-market movers, Fed policy, macroeconomic data releases, sector trends, and cryptocurrency updates. Every article is written for active traders and long-term investors who need fast, actionable context — not noise.

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