Quant Mutual Fund, after analyzing broader indices like Nifty 500 and BSE 500, believes a trading bottom is nearing. The fund is focusing on large and mega-large caps while increasing small-cap exposures. Predictive Analytics models suggest select buying opportunities in sectors such as Infrastructure, Hotels, Pharma, and Telecom. The portfolio maintains strong liquidity, with high cash levels ready for deployment in the falling markets.
Oil shock from Iran war raises risks for India’s stock market
Escalating Middle East tensions are poised to further weaken Indian equities, with strategists warning of underperformance against global peers. Higher oil prices, driven by the