neutral
9 days agoIndian equities slip while US indices end mixed on rate concerns

Indian markets saw pressure as the Sensex dropped 300 points, dragged by rising oil prices and weakness in large cap IT stocks amid higher US Treasury yields. Meanwhile, major US indexes closed mixed on December 4 as traders evaluated sector strength heading into monthly data updates. Profit taking in technology names and muted institutional flows contributed to short term volatility, prompting analysts to watch global risk sentiment and upcoming Fed commentary for direction.
neutral
9 days agoIndian equities slip while US indices end mixed on rate concerns

Indian markets saw pressure as the Sensex dropped 300 points, dragged by rising oil prices and weakness in large cap IT stocks amid higher US Treasury yields. Meanwhile, major US indexes closed mixed on December 4 as traders evaluated sector strength heading into monthly data updates. Profit taking in technology names and muted institutional flows contributed to short term volatility, prompting analysts to watch global risk sentiment and upcoming Fed commentary for direction.
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Indian markets weakened on oil-driven volatility while US indices closed mixed as traders assessed yields, sector flows, and macro updates for near-term signals.
Indian markets saw pressure as the Sensex dropped 300 points, dragged by rising oil prices and weakness in large cap IT stocks amid higher US Treasury yields. Meanwhile, major US indexes closed mixed on December 4 as traders evaluated sector strength heading into monthly data updates. Profit taking in technology names and muted institutional flows contributed to short term volatility, prompting analysts to watch global risk sentiment and upcoming Fed commentary for direction.

Indian markets saw pressure as the Sensex dropped 300 points, dragged by rising oil prices and weakness in large cap IT stocks amid higher US Treasury yields. Meanwhile, major US indexes closed mixed on December 4 as traders evaluated sector strength heading into monthly data updates. Profit taking in technology names and muted institutional flows contributed to short term volatility, prompting analysts to watch global risk sentiment and upcoming Fed commentary for direction.
Dec 6, 2025 • 03:55