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Brokerages see the recent market correction driven by geopolitical tensions and rising oil prices as a buying opportunity, identifying nearly 80 stocks across sectors. While near-term risks remain, valuations have eased and earnings growth outlook stays intact. Analysts expect volatility to persist but believe the downside is largely priced in, making the current phase suitable for gradual accumulation.
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A sharp market correction has dragged midcap stocks significantly lower, with 14 Nifty Midcap names plunging between 40% and 50% from their 52-week highs. The broader indices have also declined, reflecting widespread selling pressure amid volatility, making midcaps the worst-hit segment in the ongoing downturn.
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Markets staged a late recovery, but technical indicators suggest indecision rather than a confirmed reversal. Sudeep Shah highlights key Nifty and Bank Nifty levels, cautioning that volatility remains elevated. While IT shows relative strength, rate-sensitive sectors may stay under pressure ahead of the RBI MPC decision and macro uncertainty.
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