Foreign investors remain cautious about Indian stocks, despite some cash market buying. Their derivative bets show lingering doubt, influenced by a fragile US-Iran peace deal, a weakening rupee, and more appealing opportunities elsewhere in Asia. While the Nifty saw a modest gain, a high long-short ratio in futures indicates a lack of strong bullish sentiment.
Foreign Portfolio Investors (FPIs) remain cautious on Indian equities, despite some cash market buying. Their derivative positions indicate lingering doubts, influenced by geopolitical factors like the fragile US-Iran deal, a weakening rupee, and attractive opportunities in…
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