neutral
2 days agoMarkets balance caution and opportunity as global signals remain mixed

Global financial markets are navigating a phase of cautious optimism as investors weigh moderating inflation trends against persistent policy uncertainty. In India, equity benchmarks have faced intermittent pressure from rising crude oil prices and foreign fund outflows, even as selective stocks attract buying interest. In the United States, equity indices have shown resilience, supported by stable labor data and improving inflation expectations, while attention remains on Federal Reserve rate guidance.
Explore:Mutual Fund AI Screening
neutral
2 days agoMarkets balance caution and opportunity as global signals remain mixed

Global financial markets are navigating a phase of cautious optimism as investors weigh moderating inflation trends against persistent policy uncertainty. In India, equity benchmarks have faced intermittent pressure from rising crude oil prices and foreign fund outflows, even as selective stocks attract buying interest. In the United States, equity indices have shown resilience, supported by stable labor data and improving inflation expectations, while attention remains on Federal Reserve rate guidance.
Explore:Mutual Fund AI Screening
1 min read
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Markets remain range-bound as investors balance inflation signals, rate policy uncertainty, and selective opportunities across equities, technology, IPOs, and digital assets.
Global financial markets are navigating a phase of cautious optimism as investors weigh moderating inflation trends against persistent policy uncertainty. In India, equity benchmarks have faced intermittent pressure from rising crude oil prices and foreign fund outflows, even as selective stocks attract buying interest. In the United States, equity indices have shown resilience, supported by stable labor data and improving inflation expectations, while attention remains on Federal Reserve rate guidance.

Global financial markets are navigating a phase of cautious optimism as investors weigh moderating inflation trends against persistent policy uncertainty. In India, equity benchmarks have faced intermittent pressure from rising crude oil prices and foreign fund outflows, even as selective stocks attract buying interest. In the United States, equity indices have shown resilience, supported by stable labor data and improving inflation expectations, while attention remains on Federal Reserve rate guidance.
Dec 13, 2025 • 06:00