neutral
1h agoAnalysts warn Indian markets to stay volatile amid global uncertainty and heavy data agenda

Market analysts on 9 November 2025 expect Indian equities to face a volatile phase as global uncertainty persists and a heavy schedule of domestic macro‑ and earnings‑data approaches. Key items include CPI, WPI and major company results.
They highlight that while structural growth remains strong, short‑term reactions will be driven by foreign‑flow patterns and data surprises.
Portfolio managers suggest maintaining conviction but emphasise risk‑management, particularly for mid‑cap and thematic exposures.
Explore:High Return Equity Mutual Fund
neutral
1h agoAnalysts warn Indian markets to stay volatile amid global uncertainty and heavy data agenda

Market analysts on 9 November 2025 expect Indian equities to face a volatile phase as global uncertainty persists and a heavy schedule of domestic macro‑ and earnings‑data approaches. Key items include CPI, WPI and major company results.
They highlight that while structural growth remains strong, short‑term reactions will be driven by foreign‑flow patterns and data surprises.
Portfolio managers suggest maintaining conviction but emphasise risk‑management, particularly for mid‑cap and thematic exposures.
Explore:High Return Equity Mutual Fund
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neutral
Analysts warn Indian markets to stay volatile amid global uncertainty and heavy data agenda
about 2 hours ago
1 min read
68 words

Indian markets expected to be volatile due to external headwinds and dense domestic data canopy.
Market analysts on 9 November 2025 expect Indian equities to face a volatile phase as global uncertainty persists and a heavy schedule of domestic macro‑ and earnings‑data approaches. Key items include CPI, WPI and major company results.
They highlight that while structural growth remains strong, short‑term reactions will be driven by foreign‑flow patterns and data surprises.
Portfolio managers suggest maintaining conviction but emphasise risk‑management, particularly for mid‑cap and thematic exposures.

Market analysts on 9 November 2025 expect Indian equities to face a volatile phase as global uncertainty persists and a heavy schedule of domestic macro‑ and earnings‑data approaches. Key items include CPI, WPI and major company results.
They highlight that while structural growth remains strong, short‑term reactions will be driven by foreign‑flow patterns and data surprises.
Portfolio managers suggest maintaining conviction but emphasise risk‑management, particularly for mid‑cap and thematic exposures.
Tags:
markets
India
markets
India
volatility
macro data
earnings
Nov 9, 2025 • 13:03 IST