Investors in India are eagerly anticipating the corporate earnings reports from HCL Technologies, Axis Bank, and Maruti, as well as keeping a close eye on global tariff developments from the US, which are likely to impact market sentiment. Foreign Institutional Investors (FIIs) are showing interest, buoyed by a declining dollar and India’s robust growth prospects, offering a stabilizing factor. Nevertheless, there is a possibility of increased market volatility due to any unexpected negative news regarding US tariffs. The market is expected to react to these key factors in the coming days as investors assess the implications on their portfolios.
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