Global tensions and rising oil prices are causing market swings. Indian markets are correcting, creating chances in power, infrastructure, and auto sectors. Investors should stay disciplined and focus on long-term growth. Foreign investors are selling, while domestic inflows continue. The rupee is weakening, impacting inflation and imports. Crude oil above $100 poses risks but forex reserves offer some buffer.
Venugopal Garre on AI, earnings and why India’s market valuations may stabilize
Global markets face turbulence from geopolitical tensions and rising oil prices. Venugopal Garre advises investors to adopt a long-term perspective, building portfolios for the next