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2025-01-24 09:34:15 am | Source: Motilal Oswal Financial Services Ltd Ltd
Motilal Oswal Projects Market Resilience Amidst Volatility in 2025

In its latest market outlook, Motilal Oswal Financial Services provides a detailed analysis of the opportunities and challenges awaiting investors in 2025. The report highlights that the Indian equity market is expected to experience significant volatility in the short term, driven by global uncertainties such as persistent trade tensions, geopolitical risks, and foreign institutional investor (FII) outflows. However, the medium- to long-term outlook remains optimistic due to India’s economic resilience.

Key Factors Shaping the Market:

* Union Budget Optimism: The upcoming Union Budget is expected to introduce policies aimed at boosting government spending, which could provide much-needed impetus to economic growth and infrastructure development.

* Strong Domestic Buying: Domestic investors, particularly those focused on IT and pharma sectors, continue to show robust buying interest, helping to mitigate the impact of sustained FII outflows.

* Global Cues and Trends: Record-high closings in US and European markets, coupled with positive sentiment around artificial intelligence and technology advancements, have further fueled market optimism in India.

Market Guidance:

Motilal Oswal’s report advises investors to remain cautious amid intra-day volatility. Nifty’s immediate support levels are identified at 22,950 and 22,800, with resistance at 23,200 and 23,333. Investors are encouraged to adopt well-diversified portfolio strategies, with a focus on sectors such as IT, healthcare, and financial services, which are expected to deliver a mix of stability and growth potential.

The report also emphasizes the importance of risk management and asset allocation in achieving long-term financial goals.

 

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