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Indian stock markets face volatility due to geopolitical tensions and rising energy prices, disrupting recent stability. Despite caution, market expert Neeraj Dewan identifies selective long-term opportunities in sectors like energy, defensives, food delivery platforms, auto, and select PSU stocks, advising gradual accumulation on dips.
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Geopolitical tensions and trade route disruptions are making investors cautious, despite attractive stock valuations. Market participants are closely monitoring the Strait of Hormuz, as any disruption there impacts oil prices and supply chains. While uncertainty typically lowers valuations, it can create opportunities once clarity emerges, with the continuity of trade being the key factor for market stabilization.
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Despite fears of AI-driven layoffs in India’s IT sector, CLSA analysts say hiring remains steady, and revenue per employee is rising. IT giants like TCS, Infosys and Tech Mahindra continue to expand recruitment, especially for specialised AI roles, while AI adoption boosts productivity and margins without threatening core jobs.
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Australian shares dropped over 1% as rising oil prices, fueled by Middle East attacks, heightened inflation concerns and increased the likelihood of interest rate hikes. The S&P/ASX 200 index fell 1.3%, with financials and miners leading the decline. Energy stocks were the sole gainers, while New Zealand’s benchmark also saw a dip.
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Goldman Sachs has pushed back its forecast for U.S. Federal Reserve rate cuts, now anticipating quarter-point reductions in September and December. This shift is attributed to rising inflation risks stemming from the Middle East conflict, making a June start appear too early. However, earlier cuts remain possible if the labor market weakens more significantly than expected.
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