Morgan Stanley has reiterated its belief in India’s robust long-term equity prospects, notwithstanding recent market volatilities. The country’s positive GDP forecasts, encouraging inflation patterns, the Reserve Bank of India’s (RBI) accommodative policies, and growing foreign investor trust are cited as pivotal factors supporting this outlook. Analysts anticipate a market rebound in 2025, although uncertainties stemming from global economic shifts may present challenges.
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Morgan Stanley bullish on India’s equity outlook amidst market dips, predicts 2025 recovery amid global risks.
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