Dalal Street Week Ahead: US-Iran ceasefire uncertainty, oil prices, Q4 earnings, China GDP, US PPI among 10 key factors to watch

The Indian stock market is expected to remain volatile and range-bound with a positive bias in the coming week. Key factors to watch include the US-Iran ceasefire uncertainty, oil prices, Q4 earnings, China's GDP, and US PPI.
The Indian stock market will be volatile next week. Key factors include US-Iran talks, oil prices, and quarterly earnings. China's GDP and US PPI will also be watched. The market is expected to remain range-bound with a positive bias. The next batch of quarterly earnings and FII sentiment will be closely monitored. Oil prices will be affected by the US-Iran ceasefire uncertainty and movement in the Strait of Hormuz.
This content was automatically generated and/or translated by AI. It may contain inaccuracies. Please refer to the original sources for verification.