1. Strong rally recently, but volatility remains

  • Sensex & Nifty surged earlier this week, supported by global cues and easing oil prices.
  • However, markets remain highly volatile due to geopolitical tensions and FII activity.

2. Stock-specific action

  • D-Mart (Avenue Supermarts) under pressure
    • Brokerage issued a โ€œsellโ€ rating citing high valuation (~70x P/E).
  • Broader trend: valuation concerns rising in retail & consumption stocks

3. Midcap & smallcap movement

  • Recent sessions show strong breadth in mid & small caps, indicating selective buying.

๐ŸŒ Global Market Trends

1. US markets near record highs

  • S&P 500 close to record
  • Nasdaq seeing its longest rally since 2021
  • Driven by Big Tech strength + easing oil prices

2. Earnings season impact

  • Major US banks like JPMorgan & Citi reported strong earnings
  • Trading revenues surged due to high volatility environment

โš ๏ธ Key Global Risks Affecting Markets

1. IMF cuts growth forecast

  • Global uncertainty rising due to Middle East tensions
  • Emerging markets growth cut to 3.9%

2. Oil & inflation concerns

  • Oil volatility continues to influence equities
  • Inflation pressures still a major concern globally

๐Ÿช™ Commodities & Safe Haven Moves

Gold rising

  • Gold prices up over 1% on MCX
  • Investors shifting to safety amid uncertainty

๐Ÿ“Œ Key Market Takeaways (Important)

  • Trend: Volatile but bullish bias globally
  • India: Strong but sensitive to global cues
  • Risk factors:
    • Middle East tensions
    • Oil prices
    • FII flows
  • Opportunities:
    • Selective stock picking (avoid overvalued stocks)
    • Defensive sectors gaining attention