Finance entity

US Stock Market

market

markets is the sole category represented across all 7 tracked stories. Against the same-window beat baseline of 28% negative, this entity's 57% share is more negative. Of the tracked stories, 2 of 7 also mention Bitcoin, the most common co-covered peer.

Last mentioned: Mar 17, 2026

Entity pulse

Recent coverage · US Stock Market

7 stories
6.6 avg impact
14% positive
57% negative

Coverage balance Negative coverage leads. Negative coverage exceeds positive coverage by 43 percentage points.

  • 14% positive
  • 29% neutral
  • 57% negative

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 Stock Market

markets is the sole category represented across all 7 tracked stories. Against the same-window beat baseline of 28% negative, this entity's 57% share is more negative. Of the tracked stories, 2 of 7 also mention Bitcoin, the most common co-covered peer. The 33-day window averages about 1.5 stories each week. The busiest single day carried 2. Their average consequence score of 6.6 runs above the beat's 6.3 for that window. Each story carries 2.9 original sources on average, compared with 2.7 for the broader beat in this window. US Stock Market appears in 7 tracked Finance stories published from February 18, 2026 through March 22, 2026.

Stories tracked
7
Per week
1.5
Negative
57%
Sources per story
2.9

Computed from the 7 stories linked to this entity, with beat comparisons drawn from all 2735 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 Stock Market. Shared-story counts are live from our verified record — not editorial picks.

Timeline

  1. Projected Recovery

    Expected timeframe for the S&P 500 to reclaim pre-crisis highs based on historical recovery cycles.

  2. Historical Analysis Pivot

    Financial analysts begin citing historical precedents for a post-crisis market rally.

  3. Market Volatility Peak

    U.S. indices see a sharp intraday drop as geopolitical risk is priced in by algorithmic traders.

  4. Debt Sell-off

    Major financial outlets report broad-based offloading of software debt exposure.

  5. Initial Escalation

    Tensions rise between the U.S. and Iran over regional maritime security and energy exports.

  6. Growth Deceleration

    Enterprise IT budgets tighten, leading to slower SaaS revenue growth.

  7. Rate Hikes

    Central bank tightening begins to increase the cost of floating-rate debt.

  8. Peak Leverage

    Software firms take on record debt levels during the low-interest-rate environment.

Stories mentioning US Stock Market 7

Markets Neutral

Why the Iran Crisis Could Trigger a Massive U.S. Stock Market Rally

While escalating tensions in the Middle East initially sparked market volatility, historical precedents suggest that geopolitical conflicts often serve as a springboard for significant U.S. equity rallies. Analysts are looking at past cycles where initial shocks were followed by robust recovery as investors pivoted back to domestic growth and safe-haven assets.

2 sources

Source: bitcoinethereumnews.com · finbold.com

Markets Bearish

Wall Street Slumps as AI Displacement Fears and Tariff Risks Rattle Markets

U.S. equity markets suffered a broad-based selloff on Monday, with major indices sliding over 1% as investors grappled with the dual headwinds of artificial intelligence-driven labor disruption and escalating trade tensions. The decline reflects a significant shift in sentiment, moving from AI optimism toward concerns over structural economic shifts and protectionist policies.

2 sources
Markets Very Bearish

Crypto Market Volatility Intensifies Amid Macro Pressures and Equity Correlation

The cryptocurrency market is experiencing significant downward pressure, mirroring a broader retreat in the US stock market as investors grapple with macroeconomic uncertainty. This volatility, characterized by sharp liquidations and shifting sentiment, highlights the increasing correlation between digital assets and traditional risk-on equities.

7 sources

Source: CNN · BeInCrypto

US Stock Market is linked from 7 stories on this site, each scored at or above our 35% relevance threshold — see how these pages are built.

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