Geopolitical tensions in West Asia are creating market uncertainty, with crude oil prices remaining high. Despite this, investors are advised to avoid overreacting, as long-term trends suggest geopolitics has limited influence on stock markets beyond a certain point. India’s oil import dependence remains a key concern, though opportunities may emerge during this volatile period.
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