Indian markets dropped over 4% this week due to middle east tensions and FII outflows. Major sectors like auto, banks, infra, and energy faced heavy selling. FIIs are moving funds to China, leading to significant cash market selling. Analysts predict continued pessimism with a possible consolidation phase ahead amidst rising crude prices.
Arvind Sanger on how Fed policy could shape India’s market inflows
Global stock markets are rising after the US Federal Reserve’s latest policy decision. Investors see the move as less aggressive than expected. This could lead