Navia Weekly Roundup (June 16 – 20, 2025)

4 months ago
7

This week, markets remained range-bound as investors weighed global cues and domestic developments. While FII inflows provided some support, mixed global signals and cautious sentiment ahead of key economic data kept gains in check. Sector-wise, banking and auto showed resilience, while IT and pharma saw mild profit-booking. Overall, the market showed signs of consolidation, with investors awaiting clearer direction.

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