Investors in India are eagerly anticipating the upcoming corporate earnings reports from HCL Technologies, Axis Bank, and Maruti, as well as closely monitoring global tariff developments from the United States that are likely to impact market sentiment. Foreign institutional investor (FII) inflows, buoyed by a weakening dollar and India’s robust growth prospects, are currently bolstering the market. Nevertheless, there is a possibility of increased volatility due to any unexpected negative developments related to US tariffs. The outcome of these factors will play a crucial role in shaping the investment landscape in the coming days.
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