Tuesday, 31 March 2026
Indian markets face volatility due to geopolitical tensions and rising bond yields. Experts suggest cautious investment in pharma and utilities, while financials and real estate face challenges.
marketsIndian markets are grappling with volatility due to geopolitical tensions and rising bond yields. Experts suggest caution, with sectors like pharma and utilities offering potential safety.
The Middle East conflict is escalating into a global economic growth crisis, warns Stephen Innes. Elevated oil prices pose risks of stagflation, urging a shift towards electric vehicles, especially in India.



