Beyond the Noise: India’s Enduring Investment Case
All of us are seeing a strong resilience of the Indian equity market. Since the lows of April 7, Nifty 50 is up by 17 per cent, with no major drawdowns. Despite a volatile global backdrop, from tariff wars to geopolitical flare-ups, India continues to stand resilient. The resilience isn’t accidental. For global investors, India is becoming inseparable from long-term allocation strategies, and the reasons are both structural and strategic.