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Escalating Israel-Iran tensions sent Indian markets reeling, with the Sensex and Nifty 50 plummeting. Bucking the trend, shipping stocks soared on rising crude prices and container rate expectations. Jubilant Ingrevia rallied after a significant block deal, while defense stocks gained amid conflict concerns. Realty shares and Jubilant Foodworks also saw increases due to sector activity and stake offloading, respectively.
Category:
News and Media
Category:
News and Media
Vikas Khemani from Carnelian Asset Management suggests a portfolio focused on India's long-term potential. Banking, financial services, and manufacturing are key sectors. Consumption, both discretionary and non-discretionary, offers opportunities. Crude price fluctuations can create buying chances in related sectors. Auto ancillary companies with diversified exposure are attractive. Individual company analysis is crucial for informed investment decisions.
Category:
News and Media
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