
Indian stock markets witnessed a sharp decline as investors turned cautious due to rising global risks. The sell-off erased around ₹7.5 lakh crore of investor wealth as major sectors faced heavy selling pressure. The decline was driven by rising crude oil prices, geopolitical tensions, higher US bond yields and continued foreign investor outflows. Banking, financial services, metals, auto and real estate stocks were among the worst affected. Investors worried that expensive crude could increase inflation, weaken the rupee and raise business costs. Global market weakness further impacted sentiment, leading to increased volatility on Dalal Street.
- ₹7.5 lakh crore investor wealth wiped out.
- Crude oil rise increased inflation concerns.
- FIIs continued selling pressure.
- Higher US yields affected emerging markets.
- Major sectors declined sharply.
The market fall highlighted the impact of global developments on Indian equities. Investors are closely tracking oil prices, currency movement, interest rates and foreign fund flows. Future market direction will depend on global stability, economic data and corporate performance.
Indian stock market mein badi girawat dekhne ko mili, kyunki duniya bhar mein badhti uncertainty ke chalte investors cautious ho gaye. Is market fall mein lagbhag ₹7.5 lakh crore ki investor wealth kam ho gayi aur kai major sectors mein heavy selling pressure dekha gaya.
Market girne ke main reasons mein crude oil prices ka badhna, global tensions, US bond yields mein increase aur foreign investors ki lagatar selling shamil rahi. Banking, financial services, metals, auto aur real estate sectors par sabse zyada impact pada.
Investors ko concern hai ki mehnga crude oil inflation badha sakta hai, rupee par pressure daal sakta hai aur companies ki cost badha sakta hai. Global markets mein weakness ka effect Indian market par bhi pada, jisse Dalal Street par volatility badh gayi.
- Market fall mein ₹7.5 lakh crore ki investor wealth kam hui.
- Crude oil ke badhte daam se inflation ki tension badhi.
- Foreign investors (FIIs) ne selling pressure banaya.
- US bond yields badhne se emerging markets par pressure aaya.
- Banking, metal, auto aur real estate stocks mein girawat dekhi gayi.
Indian stock market ki is girawat ne dikhaya ki global events ka impact domestic market par bhi padta hai. Investors ab crude oil prices, rupee movement, interest rates aur foreign investment flows par nazar bana kar rakhe hue hain. Aane wale samay mein market ki direction global situation, economic data aur companies ke performance par depend karegi.