Broker Check

Market Commentary 3/24/26

March 24, 2026

Markets declined for a fourth week amid Iran-related tensions and shifting rate expectations. The S&P 500 fell ~1.9%. Disruptions in the Strait of Hormuz raised inflation concerns and volatility. The Fed signaled higher-for-longer rates, pressuring equities—especially rate-sensitive sectors—as uncertainty around energy and inflation persists.