
Indian stock markets are expected to open lower following Israel and the United States' military strikes on Iran, escalating geopolitical tensions in the Middle East. This has triggered concerns over rising crude oil prices, inflation, and foreign investment outflows. While short-term market volatility and sector-specific impacts, such as gains in defense stocks and losses in aviation, are anticipated, some experts advise investors to view corrections as buying opportunities amid broader economic resilience. The conflict's duration and escalation remain key uncertainties influencing market sentiment.
Select a news story to see related coverage from other media outlets.