commodities is the sole category represented across all 1 tracked stories. US Markets is most often covered alongside Crude Oil, which appears in 1 of these 1 story. Source depth averages 3 original sources per story, versus 2.7 across the same-window beat baseline.
Figures are computed live from our source-verified story record
— see our methodology for how impact and
sentiment are derived.
What the coverage shows about US Markets
commodities is the sole category represented across all 1 tracked stories. US Markets is most often covered alongside Crude Oil, which appears in 1 of these 1 story. Source depth averages 3 original sources per story, versus 2.7 across the same-window beat baseline. At 7, the average consequence score sits above the same-window beat average of 6.6. We currently track 1 Finance story that mention US Markets, all published on March 12, 2026.
Stories tracked
1
Sources per story
3
Computed from the 1 stories linked to this entity, with beat comparisons drawn from all 128 Finance stories published in the same date window. Shares are omitted below five stories and comparisons below a twenty-story baseline.
Coverage cohort
Appears alongside
Other entities that clear the same relevance threshold in stories also covering US Markets. Shared-story counts are live from our verified record — not editorial picks.
US equity markets faced a sharp pullback on March 12, 2026, as geopolitical tensions in the Middle East escalated following reports of Iranian attacks on commercial shipping. Crude oil prices surged an additional 5%, heightening inflation fears and pressuring global supply chains.