Sensex and Nifty gain 6% weekly, end six-week decline

Indian benchmark indices Sensex and Nifty closed nearly 6% higher for the week, snapping a six-week losing streak after a ceasefire between the US and Iran. Both indices rose 1.2% on Friday. Investors adopted a risk-on approach amid reduced volatility.

Indian stock markets posted nearly 6% gains over the week, ending a six-week losing streak. The BSE Sensex closed 1.2%, or 919 points, higher at 77,550.25 on Friday, led by banking and financial services stocks. The Nifty 50 ended 1.2%, or 276 points, up at 24,050.60, with robust gains across all sectors except IT.

The rally followed US President Donald Trump's announcement on Wednesday of a two-week suspension of military strikes on Iran, just before his deadline. Iran agreed to reopen the Strait of Hormuz for shipments, sparking a 4% jump in Nifty and Sensex that session. Crude oil prices fell sharply from around $115 per barrel to the $95-100 range.

The India VIX, a gauge of market volatility, dropped 8% to its lowest in over three weeks. Foreign investors (FIIs) continued outflows but at a slower pace: $144 million on Thursday, versus Rs 672 crore inflows provisionally on Friday. Domestic investors remained robust.

Tensions persist post-agreement, with many doubting the ceasefire's durability.

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BSE trading floor during Sensex and Nifty rally on US-Iran ceasefire relief, with cheering traders amid rising indices and cautious expressions over fragile peace.
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Indiska börser stiger efter lättnad kring vapenvila mellan USA och Iran, men försiktighet kvarstår

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Indiens aktieindex Sensex och Nifty noterade på onsdagen sin största uppgång på en enskild dag på flera år, drivet av en vapenvila mellan USA och Iran som dämpade oljepriser och inflationsoro. Börsvärdet för företag noterade på BSE ökade med 16,1 biljoner rupier. Asiatiska börser blev dock mer försiktiga då vapenvilan visade tecken på att vara bräcklig.

Indiska aktieindex steg mer än 1 procent under måndagen och återhämtade sig från tidiga förluster. Uppgången eldades på av ett förslag om eldupphör i Västasien samt stabila råoljepriser. Nifty stängde på 22 968,25, medan Sensex slutade på 74 106,85.

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Indian stock markets recorded a sharp decline on Monday due to escalating tensions in West Asia. US and Israel strikes on Iran caused crude oil prices to surge, heightening investor caution. Iran has closed the Strait of Hormuz, potentially disrupting global oil supplies.

India's benchmark indices Sensex and Nifty opened flat on March 17, 2026, as higher crude oil prices weighed on investor sentiment. As of 9:42 am, the S&P BSE Sensex gained 63.36 points to 75,566.21, while the NSE Nifty50 added 21.90 points to 23,430.70.

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Global markets reacted optimistically to a two-week truce announcement between the United States and Iran, boosting stocks and bonds while oil prices plunged. President Donald Trump confirmed a regime change in Iran and talks on sanctions relief. In Argentina, the country risk index dropped below 570 basis points.

Wall Street and Mexico's BMV stock markets closed sharply higher on Wednesday, reacting to Tuesday's post-market announcement of a two-week truce between the US and Iran—including negotiations and gradual reopening of the Strait of Hormuz—following President Trump's ultimatum. The Dow Jones surged 2.85%, while the BMV's IPC climbed 2.47%. The Mexican peso strengthened up to 1.9% against the dollar.

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Indiska aktiemarknader stängde högre på fredagen, stärkta av IT-, fordons- och metallsektorerna, även om bankaktier begränsade uppgångarna. Analytiker, däribland Sudeep Shah, uttrycker försiktighet på grund av konflikten i Västasien, höga oljepriser och pågående utflöden av utländskt institutionellt kapital (FII). Nifty och Bank Nifty möter motståndsnivåer och rekyler säljs av.

 

 

 

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