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Stocks

Traders Await Fed Rate Decision Amid Rising Oil Prices and Earnings Reports

News Desk
Last updated: March 18, 2026 2:24 am
News Desk
Published: March 18, 2026
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Traders on the New York Stock Exchange are experiencing a period of cautious anticipation as stock futures hovered near the flat line on Tuesday night, primarily due to expectations surrounding the Federal Reserve’s upcoming interest rate policy decision. Futures associated with the Dow Jones Industrial Average dipped by 39 points, equivalent to 0.08%. Meanwhile, S&P 500 futures recorded a marginal decline of 0.04%, although Nasdaq 100 futures managed a slight uptick of 0.05%.

On the preceding trading day, major U.S. stock averages experienced gains, albeit with a pullback from their session highs, notably influenced by an uptick in oil prices. The S&P 500 concluded the day approximately 0.3% higher, while the Nasdaq Composite rose nearly 0.5%. The Dow saw a modest addition of 46.85 points, or 0.1%.

In a political context, President Donald Trump took to Truth Social to assert that the U.S. does not require assistance from NATO allies concerning the ongoing situation in the Middle East. This statement followed his earlier indication of the potential for a coalition aimed at safeguarding vessels navigating the Strait of Hormuz.

The surge in crude oil prices is noteworthy, with West Texas Intermediate futures climbing nearly 3% to settle at $96.21, while Brent futures rose by 3.2% to close at $103.42—the highest level since August 2022. This increase in prices has been intensified by a series of Iranian attacks on the energy infrastructure of the United Arab Emirates, which has raised concerns regarding the stability of crude and fuel shipping routes.

As markets await the Federal Reserve’s interest rate announcement, which is anticipated to maintain rates within the 3.5% to 3.75% range, investor focus is also directed toward signals from Fed Chair Jerome Powell regarding the potential influence of oil prices on future monetary policy. According to Anthony Saglimbene, chief market strategist at Ameriprise Financial, there exists a “hesitation” in the markets in light of both the Fed’s impending decision and soaring oil prices. He indicated that while a stable interest rate is likely, investors will be keenly observing how the Fed discusses the geopolitical tensions involving Iran in relation to inflation and growth forecasts.

Saglimbene also emphasized that a robust earnings backdrop is contributing support to U.S. stocks, an aspect that investors may analyze closely given the heightened geopolitical uncertainties linked to Iran and concerns regarding disruptions from artificial intelligence. Similarly, LPL chief equity strategist Jeff Buchbinder noted that factors such as a solid economy, “more reasonable” valuations, and strong corporate fundamentals continue to bolster investor sentiment.

In addition to the Fed’s decision, traders are looking forward to the forthcoming producer price index report for February, which, according to Dow Jones consensus forecasts, is expected to show a 0.3% increase.

On the earnings front, Micron Technology is in the spotlight, as the chipmaker is set to release its latest quarterly results after the closing bell on Wednesday. The stock has seen a remarkable rise this year, surging nearly 62% amid increasing demand for high-bandwidth memory solutions.

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