
Given the possibility of higher interest rates globally and uncertainty on growth in the developed geographies like US and Europe, equity markets may remain volatile in the near term. Geopolitical tensions remains the other key risk to monitor.
from Moneycontrol Market Outlook https://www.moneycontrol.com/news/market-outlook/daily-voice-|-staybottom-up-stock-picking-strategy-to-navigate-near-term-volatility-says-this-equity-research-head_16648471.html
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