The U.S. stock market faced another turbulent week, with volatile swings, unexpected earnings surprises, and geopolitical tensions keeping investors on edge. Despite brief rallies, major indices closed the week in the red, weighed down by inflation concerns, interest rate uncertainty, and a surprise energy sector pullback.
As we wrap up the week ending March 14, 2025, here’s a look at what moved the markets: the top gainers, the worst performers, and what’s next




