
Indian equity markets face volatility amid global uncertainties and sector-specific challenges, with experts highlighting mixed earnings prospects and selective investment opportunities. While some analysts remain optimistic about earnings growth in FY27, particularly in banks and select sectors, others note weak demand in IT and elevated valuations. Investors are advised to focus on diversified portfolios, sectoral rotation, and long-term fundamentals. Global factors like geopolitical tensions and commodity price fluctuations add complexity, prompting cautious but strategic approaches to both domestic and international markets.
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