Indian markets face volatility due to global tensions. Investors often desire stability but markets respond to real risks like rising oil prices and geopolitical events. Success hinges on disciplined behavior, not predictions. Staying invested through downturns allows for long-term compounding. Those who manage risk and resist panic selling will be rewarded over time.
The rupee at record low will end India’s cheap-money era
Elevated energy import costs have pushed the Indian rupee to a record low, prompting urgent questions about Reserve Bank of India rate hikes. Despite a