neutral
10 days agoEquity movements diverge as US markets close mixed and Indian indices soften

Sector rotation drove uneven performance across major US benchmarks on December 4, with investors adjusting positions ahead of macro announcements. In India, the Sensex declined 300 points as rising oil prices pressured sentiment and IT stocks weakened due to higher US yields influencing global risk appetite. Analysts noted that institutional outflows and cautious positioning are shaping trading ranges across both regions as volatility frameworks tighten.
neutral
10 days agoEquity movements diverge as US markets close mixed and Indian indices soften

Sector rotation drove uneven performance across major US benchmarks on December 4, with investors adjusting positions ahead of macro announcements. In India, the Sensex declined 300 points as rising oil prices pressured sentiment and IT stocks weakened due to higher US yields influencing global risk appetite. Analysts noted that institutional outflows and cautious positioning are shaping trading ranges across both regions as volatility frameworks tighten.
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US markets ended mixed while Indian equities slipped on oil-driven pressure and rate-sensitive weakness, prompting investors to reassess positioning into upcoming data.
Sector rotation drove uneven performance across major US benchmarks on December 4, with investors adjusting positions ahead of macro announcements. In India, the Sensex declined 300 points as rising oil prices pressured sentiment and IT stocks weakened due to higher US yields influencing global risk appetite. Analysts noted that institutional outflows and cautious positioning are shaping trading ranges across both regions as volatility frameworks tighten.

Sector rotation drove uneven performance across major US benchmarks on December 4, with investors adjusting positions ahead of macro announcements. In India, the Sensex declined 300 points as rising oil prices pressured sentiment and IT stocks weakened due to higher US yields influencing global risk appetite. Analysts noted that institutional outflows and cautious positioning are shaping trading ranges across both regions as volatility frameworks tighten.
Dec 6, 2025 • 04:00