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Sensex

By Nishant Verma , 6 March 2026
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Indian Equities Stage Strong Comeback as Sensex and Nifty Rally

India’s benchmark stock indices rebounded strongly after recent volatility, signaling renewed investor confidence in the domestic economy. Both the Sensex and Nifty advanced sharply as investors returned to equities amid positive global cues, easing inflation concerns, and expectations of continued economic growth. Gains were led by banking, IT, and energy stocks, which attracted significant institutional buying. Analysts say the rally reflects improved risk appetite and optimism around corporate earnings and policy stability.

Tags

  • Sensex
  • Nifty
  • Stock Markets
By Shilpa Reddy , 6 March 2026
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Indian Markets Reel as West Asia Tensions Trigger Sharp Selloff

Indian equity benchmarks suffered a steep decline as escalating geopolitical tensions in West Asia rattled global financial markets and dampened investor sentiment. The Sensex and Nifty registered significant losses amid concerns over rising crude oil prices, potential supply chain disruptions, and increased risk aversion among foreign institutional investors. Banking, auto, and IT stocks bore the brunt of the selloff, while defensive sectors showed relative resilience.

Tags

  • Stock Markets
  • Sensex
  • Nifty
By Ricky Tandon , 5 March 2026
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Indian Equity Markets Slide as West Asia Turmoil Triggers Global Risk Aversion

Indian benchmark indices tumbled sharply as escalating tensions in West Asia unsettled global financial markets and sparked a wave of risk-off sentiment. The BSE Sensex and NSE Nifty 50 registered steep losses, weighed down by heavy selling in banking, information technology, and energy stocks. Rising crude oil prices and fears of supply chain disruptions heightened concerns over inflation and fiscal pressure in oil-importing economies such as India. Foreign portfolio investors trimmed exposure amid uncertainty, intensifying volatility.

Tags

  • Stock Markets
  • Sensex
  • Nifty
By Gurleen Bajwa , 4 March 2026
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Market Rout Wipes Out Rs. 6.59 Lakh Crore in Investor Wealth

Indian equity markets witnessed a sharp sell-off, erasing Rs. 6.59 lakh crore in investor wealth in a single trading session as benchmark indices retreated under heavy selling pressure. Broad-based declines across banking, IT and capital goods stocks underscored fragile market sentiment amid global uncertainties and domestic valuation concerns. The downturn reflects heightened risk aversion among institutional investors and renewed volatility in emerging markets.

Tags

  • Stock Markets
  • Economy
  • Sensex
  • Nifty
By Tinku Bhatia , 4 March 2026
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Markets in Turmoil: Sensex, Nifty Slide as West Asia Conflict Rattles Global Investors

Indian equity benchmarks fell sharply on March 4, 2026, as escalating tensions in West Asia unsettled global markets and triggered a spike in crude oil prices. The sell-off reflected investor anxiety over potential supply disruptions, inflationary pressures and tightening liquidity conditions. The benchmark indices—BSE Sensex and Nifty 50—declined in early trade, mirroring weakness across Asian markets. Rising crude prices amplified concerns for India, a major oil importer, as higher energy costs threaten fiscal stability and corporate margins.

Tags

  • Sensex
  • Nifty
  • Stock Markets
  • Energy
By Nimrat , 3 March 2026
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Global Equity Markets Slide as Middle East Crisis Triggers Risk Aversion

Stock markets across Asia, Europe, and the United States retreated sharply as escalating tensions in the Middle East rattled investor confidence and reignited concerns over energy security and geopolitical stability. Benchmark indices in India and major global exchanges posted declines amid rising crude oil prices and renewed safe-haven flows into gold and government bonds. Market participants responded swiftly to the heightened uncertainty, trimming exposure to risk assets and reassessing growth forecasts.

Tags

  • Stock Markets
  • Sensex
  • Nifty
By Vinod Pathak , 1 March 2026
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Sensex, Nifty Tumble as Geopolitical Tensions Rattle Global Markets

Indian benchmark indices plunged sharply as escalating geopolitical tensions unsettled global financial markets, triggering widespread risk aversion among investors. The BSE Sensex and Nifty 50 recorded steep losses amid heavy selling in banking, energy and information technology stocks. Heightened uncertainty over international conflict, rising crude oil prices and concerns about inflationary pressures intensified the market downturn. Foreign institutional investors accelerated outflows, compounding volatility across large-cap counters.

Tags

  • Sensex
  • Nifty
  • Stock Markets
By Shilpa Reddy , 1 March 2026
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Sensex, Nifty Slide Sharply as Broad-Based Selling Hits Dalal Street

Indian equity benchmarks declined sharply, with the Sensex and Nifty registering significant losses amid widespread selling pressure across sectors. Weak global cues, persistent foreign institutional outflows and profit-booking in heavyweight stocks weighed on investor sentiment. Banking, information technology and metal shares led the downturn, dragging benchmark indices lower and erasing recent gains. Analysts attributed the decline to a combination of global risk aversion, elevated bond yields and cautious positioning ahead of key macroeconomic data.

Tags

  • Sensex
  • Nifty
  • Stock Markets
By Neena Shukla , 28 February 2026
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IT-Led Rally Lifts Indian Equities as Foreign Capital Returns

Indian equities advanced as sustained buying in information technology stocks coincided with renewed foreign institutional inflows, reinforcing risk appetite across large caps. Benchmarks opened firm and extended gains through the session, reflecting confidence in export-oriented IT names amid stable global cues and easing volatility. Market breadth improved, with selective participation from financials and metals supporting the move.

Tags

  • Stock Markets
  • IT
  • Sensex
  • NSE
By Manbir Sandhu , 27 February 2026
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Indian Equities Close Flat After Choppy Session Marked by Cautious Trading

Indian stock markets ended a volatile session largely unchanged as investors balanced selective buying against persistent profit-taking. Benchmark indices oscillated between gains and losses through the day, reflecting uncertainty over global cues, interest-rate expectations and near-term corporate earnings. While pockets of strength emerged in select sectors, the absence of broad-based conviction kept benchmarks range-bound. Market participants adopted a wait-and-watch approach, preferring to preserve capital amid mixed signals from overseas markets.

Tags

  • Stock Markets
  • Sensex
  • Nifty

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