This week, Indian markets are on high alert for pivotal economic data, as traders keenly observe foreign portfolio inflows that could dictate the rupee’s trajectory. Meanwhile, bond investors are attuned to the balancing act of demand and supply. The rupee recently surged following the announcement of a trade deal between the U.S.
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