India’s strong macro fundamentals, policy reforms, easing monetary conditions and revival in consumption and capex are expected to support growth and drive sectoral opportunities in FY27.
Geopolitics, crude risk and the IT conundrum: Sridhar Sivaram on why investors may need to stay selective
Geopolitical tensions in West Asia are creating market uncertainty, impacting energy supplies and capital flows. While Indian equities have shown resilience, prolonged conflict could significantly