💨 Abstract
Indian equity markets are expected to maintain a cautious tone next week due to global and domestic factors such as Q3 results, foreign fund outflows, US policies under Trump, and corporate earnings. Market participants will closely watch US bond yields, US Dollar Index, crude oil prices, and US trade policies. Key sectors like IT and pharmaceuticals may face uncertainties due to anticipated US policy shifts, while defense and energy could benefit from stronger bilateral ties.
Courtesy: theprint.in
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