FPI Selling in India's Financials Slows in Late May

Global investors cut their holdings in India's financial services sector during the second half of May, though at a slower pace than earlier in the month. They sold shares worth ₹5,181 crore in the period. FPIs stayed net sellers overall despite inflows into other areas.

FPIs reduced their equity positions in financial services companies between mid-May and the end of the month. The sales totalled ₹5,181 crore, down sharply from the first half of May. The metals sector attracted the bulk of new foreign money during the same period. It captured nearly 60 percent of total foreign investment flows. Data from the National Securities Depository showed the continued net outflows from Indian equities as a whole. The shift followed MSCI rebalancing activity earlier in the year.

Makala yanayohusiana

Foreign investors continued to sell Indian financial stocks in the first half of May, pulling out ₹17,960 crore. The moves reflect worries about tighter banking margins and reduced attractiveness versus other emerging markets.

Imeripotiwa na AI

Foreign portfolio investors sold shares valued at ₹64,761 crore in the first half of June, marking the highest monthly outflow since March. The selling was led by financial services and oil and gas sectors amid rising oil prices.

Indian equities face a challenging June amid geopolitical tensions and foreign selling.

Imeripotiwa na AI

Overseas investors turned net buyers during the first half of July. Consumer services, metals, and healthcare drew the largest inflows. The IT sector recorded marginal net buying after months of outflows.

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