Global markets navigate geopolitical uncertainty and investor optimism, with equities rising amid hopes for a de-escalation of Iran tensions. However, emerging markets face pressure, and investor flows signal caution, balancing defensive positioning with readiness for a potential rebound. Deeper macroeconomic concerns, including stagflation risks and AI return skepticism, also linger.
Explained: Why global brokerages are hitting panic button on India. FII exodus, oil shock ringing alarm?
Equity market has shifted sharply from optimism to crisis mode, marked by a record $13 billion FII outflow in March—the worst ever. The sell-off has