Indian markets ended the week higher but may face volatility due to U.S. airstrikes on Iran. Rising crude oil prices, cautious FIIs, and weak technical indicators could pressure sentiment. Investors are watching Iran’s response, dollar strength, and inflation risks to gauge near-term direction.
Rising bond yields and inflation remain key risks for markets: Candace Browning
Global investors are focusing on artificial intelligence driven earnings growth, overshadowing geopolitical concerns. Strong US corporate profits and expectations of easy monetary policy are supporting