Q2 2025 was marked by market volatility triggered by President Trump’s tariff announcement and geopolitical uncertainty, which caused a brief market panic. The S&P 500 saw a significant drop of over 13% during the month, with volatility spiking to crisis levels. However, markets quickly rebounded as trade tensions eased and tariffs landed closer to 13%.Despite the turbulence, Indian investors on Vested Finance displayed remarkable resilience, indicating a clear conviction to stay invested. Data compiled by Vested Finance highlights how Indian investors are navigating this chaos with clarity and conviction. Amidst heightened market risks, they continued to make strategic investments, expanding beyond just tech and adding diversified holdings across sectors and geographies.
Goldman Sachs’ India bets: 8 stocks rally up to 85% in CY26; one new addition
Goldman Sachs’ India equity portfolio fell 6% in CY26 amid mixed stock performance. While 18 stocks declined sharply, eight delivered strong gains, led by GNG