Wall Street Week Ahead: Investors eye ECB policy verdict, US Presidential Election buzz, macro data, Q3 earnings

Wall Street Week Ahead: Investors eye ECB policy verdict, US Presidential Election buzz, macro data, Q3 earnings

Wall Street Week Ahead: The US consumer sentiment will come into the spotlight this week, with investors eyeing corporate earnings reports, retail sales data, and jobless claims reports to confirm further the economic resilience that has boosted equity markets this month. As earnings season kicks off, the benchmark S&P 500 is set to post its … Read more

Indian bond yield sees biggest spike in 8 months on uncertainty over election results 2024; 10-year yield above 7%

Indian bond yield sees biggest spike in 8 months on uncertainty over election results 2024; 10-year yield above 7%

Indian government bond yields jumped sharply on Tuesday, with the benchmark 10-year bond yield witnessing its biggest surge in eight months, as early voting trends in the Lok Sabha election results 2024 so far were falling short of market expectations. The benchmark 10-year bond yield was at 7.0130% as against its previous close at 6.9438%. … Read more

Why did FPIs dump ₹25,586 crore worth of Indian shares in May—Explained with 4 key reasons

Why did FPIs dump ₹25,586 crore worth of Indian shares in May—Explained with 4 key reasons

FPIs offloaded ₹25,586 crore worth of Indian equities and the total outflow stands at ₹12,911 crore as of May 31, taking into account debt, hybrid, debt-VRR, and equities, according to National Securities Depository Ltd (NSDL) data. The total debt inflows stand at ₹8,761 crore in May 2024. “FPIs have been sellers in equity on most … Read more

Week Ahead: Q4FY24 Results, FII activity, macro data, global cues among key market triggers this week

Week Ahead: Q4FY24 Results, FII activity, macro data, global cues among key market triggers this week

The stock market experienced volatility throughout last week, ultimately ending nearly unchanged amid conflicting signals. While the overall sentiment was positive initially, fluctuations in global markets coupled with declines in certain major stocks offset much of the gains.  Also Read: US Fed to hold rates at 23-year high-mark until inflation cools, slows pace of balance … Read more

Week Ahead: Q4 Results, US Fed Policy, Auto sales, global cues among key market triggers this week

Week Ahead: Q4 Results, US Fed Policy, Auto sales, global cues among key market triggers this week

Indian stock markets rebounded after two weeks of profit-taking and gained over a per cent. The week kicked off on an upbeat note, buoyed by positive cues from the global markets. However, volatility ensued as the week progressed, with the markets grappling with uncertainties surrounding mixed earnings.  A sharp surge on Thursday further eased concerns … Read more

Week Ahead: Q4 Results, Iran-Israel conflict, global cues among key market triggers this week

Week Ahead: Q4 Results, Iran-Israel conflict, global cues among key market triggers this week

Domestic markets edged lower amid excessive volatility and lost over one and a half per cent, tracking feeble global cues. The tone was negative from the beginning, which further deteriorated with a decline in world indices however rebound on Friday trimmed some losses.  Benchmark indices Nifty 50 and Sensex, settled at 22,147 and 73,088.33 levels … Read more

Week Ahead: Q4 Results, macro data, Israel-Iran conflict, global cues among key market triggers this week

Week Ahead: Q4 Results, macro data, Israel-Iran conflict, global cues among key market triggers this week

Despite touching fresh lifetime high levels, domestic equity benchmarks settled flat last week as investors’ hope for a June rate cut were dashed by higher-than-expected inflation in the US, compounded by positive US employment and manufacturing data. Escalating geopolitical tensions in the Middle East, alongside supply concerns, have propelled crude oil prices upward, impacting the … Read more