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US equities are nearing previous highs despite ongoing concerns about higher energy prices stemming from the Iran conflict. While tech earnings and Fed decisions fueled investor optimism, the persistent rise in oil prices continues to pose a risk of inflation and potential interest rate hikes, particularly in Europe.
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Nifty is expected to trade within a narrow range of 23,500–24,800 due to geopolitical tensions and high oil prices. Analysts suggest a mildly positive bias, with specific trading strategies and stock picks like ITC and Tube Investments recommended for potential gains.
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Indian pharma and healthcare firms face a mixed March quarter. While hospitals anticipate steady growth, generic drugmakers grapple with lost Revlimid sales and pricing challenges. Lupin and Divi’s are poised for strong performance, with Sun Pharma and Torrent showing resilience. Apollo Hospitals expects robust traction across its diverse segments.
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Analysts are identifying stock-specific opportunities for May following April’s short-covering rally. Bullish bets include Sun Pharma, Adani Ports, ONGC, Sona BLW, Bharti Airtel, ITC, and Kotak Mahindra Bank, with specific price targets and stop-losses. Conversely, Tata Motors Passenger Vehicles shows bearish sentiment with a potential downside target.
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Corporate borrowers are increasingly favoring bank loans over bond issuances as rising capital market yields diminish the cost advantage of bonds. Spreads between bank lending rates and bond yields have significantly compressed, particularly for higher-rated entities, leading to a notable shift in fundraising strategies.
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