Indian Markets Have A Strong Shield, But SEBI Flags 3 Risks That Could Shake Them In 2026-27

India’s financial markets could continue to find support from the country’s relatively strong domestic economic fundamentals in 2026-27, but external risks may keep volatility elevated, according to the Securities and Exchange Board of India’s (SEBI) Annual Report 2025-26. The regulator highlighted geopolitical tensions, high commodity prices and unpredictable foreign investment flows as key factors that could influence the direction of Indian markets over the coming year.

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