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The year started with the persistence of inflation at elevated levels across economies, continuing geo-political uncertainties and tightening financial conditions. The banking turmoil in US (Silicon Valley Bank) and Europe (Credit Suisse) increased risk aversion with the expectations of an early reversal of the monetary tightening cycle, leading to Equity markets to correct and softening of bond yields.

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Ukraine , India , Fpis Diis , Oil Gas , India Inc , Us Silicon Valley Bank , Silicon Valley Bank , Stock Markets , Market Trends , Fed , Nifty , Sensex , Market Outlook , Nifty Earnings , Brent Crude ,

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