Navia Weekly Roundup (Mar 11- Mar 15, 2024)

2 months ago
10

The week of March 11–15, 2024, saw mixed movements in the equity markets as global uncertainties and inflation concerns kept investors cautious. While banking and IT stocks provided some strength, sectors like energy faced pressure due to crude oil swings, and FMCG and pharma held steady with defensive buying. Overall, the week highlighted the usual market volatility, reminding investors that staying diversified and focused on fundamentals is the best way to navigate changing conditions.

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