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Stock Market Pummeled On Rising Crude Oil, No Change In Interest Rates; This Fear Gauge Up 12%

DAVID SAITO-CHUNG
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⚡ Quantum Brief
Global stock markets declined sharply in March 2026 as surging crude oil prices and unchanged interest rates spooked investors, triggering broad sell-offs across major indices. The CBOE Volatility Index (VIX), a key fear gauge, jumped 12%, signaling heightened market anxiety amid economic uncertainty and persistent inflationary pressures. Consumer discretionary ETF (XLY) extended its bearish trend, with its 50-day moving average declining for five consecutive weeks since its early February peak. Rising oil prices exacerbated concerns over inflation and corporate profit margins, compounding investor unease as central banks held rates steady despite growing economic headwinds. Analysts warn prolonged volatility could deepen if energy costs remain elevated, further straining consumer spending and business investment in the coming quarters.
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