The Indian Stock Market is expected to remain highly volatile next week due to global as well as domestic events.
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On 12 June Tuesday, the Indian stock markets may remain cautious ahead of the key economic data-CPI & IIP
On 13 June Tuesday, the Market will react to the domestic CPI and IIP data and will remain cautious ahead of US CPI inflation data
On 14 June Wednesday, the market will react to the US inflation data and remain cautious ahead of the US FOMC meeting outcome.
On 15 June Thursday, The Indian stock markets will first react to the US Federal Reserves meeting outcome.
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On 15 June Thursday, Indian markets are expected to remain extremely volatile due to the expiry of the Weekly Index Options.
On 15 June Thursday, China will announce Industrial Production and Retail Sales data Asian markets are expected to remain volatile.
On 16 June Friday, the Asian markets will react to European Central Bank's (ECB) interest rate decision
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On 16 June Friday, the Bank of Japan (BoJ) will announce the monetary policy outcome, any tweak in policy will create volatility
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Nifty Bank Index, Stocks, Return, and Weightage
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