Markets remain volatile due to Middle East tensions, US inflation, and Q4 corporate earnings concerns.

Markets likely to remain volatile due to global concerns including geopolitical tensions in the Middle East, US inflation, and subdued Q4 corporate earnings. Investors closely monitor events and FIIs exercise caution, with profit-taking evident in banking stocks. Crude prices rise due to supply concerns, while IT sector faces consolidation amid slowdowns in spending and US policy rate uncertainties.

April 14, 2024
4 Articles