Rana Gupta of Manulife Investment suggests India’s financial markets are navigating a volatile period. The next 90 days are crucial as global trade rebalances. While tariff finality may come, corporate adjustments will bring uncertainty. Sectors like IT and metals face headwinds. Consumer and financial sectors may see revival due to policy support and lower crude oil prices.
ETMarkets Smart Talk – Missed the 2025 Rally? Don’t chase—ease in with SIPs & structured debt: Puneet Sharma
Puneet Sharma of Whitespace Alpha advises caution for investors in 2025. He suggests a phased approach using SIPs and structured debt. Sharma highlights India’s strong