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flag Indian stock markets face volatility influenced by economic data, global factors, and upcoming events.

Indian equity markets are set for a volatile week ahead, influenced by domestic macroeconomic data, global cues, and foreign investor activity. Last week saw subdued performance due to global uncertainties like rising US bond yields and concerns over US debt. This week, key data points including India's industrial production and Q1 GDP growth will guide economic recovery insights. The RBI's dividend transfer and progress of monsoon updates will also affect investor sentiment. Additionally, the US Federal Reserve's minutes and India-US trade negotiations are expected to have a significant impact.

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