๐ผ The uncertainty stemming from the Israel-Iran conflict has introduced a brief risk-off sentiment in global markets.
๐ผ Gold is witnessing safe haven buying, while the dollar remains weak โ a supportive mix for emerging market assets.
๐ผ Interestingly, there is no panic in equity markets, indicating underlying strength and resilience.
๐ผ Markets will face serious pressure only if Iran closes the Strait of Hormuz โ a scenario that currently seems unlikely.
๐ผ Historically, such risk-off phases have proven to be valuable opportunities for long-term investors.
๐ผ Unlike earlier episodes, this time we havenโt seen aggressive equity selling โ keeping valuations relatively stable.
๐ผ Sustained domestic retail buying and strong mutual fund inflows continue to anchor the market at higher levels. This unique setup makes it a good time for long-term investors to look at relatively reasonably valued sectors like financials.
๐ผ Selective stock picking with a focus on quality and growth remains the right strategy in this phase.
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Posted on : 16 Jun 2025 9:37 AM