Weekly wrap up of Dec 15-19, 2025 | Stock market news for India
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About this listen
In late 2025, the Indian financial markets are navigating a complex landscape defined by shifting monetary policies and significant regulatory reforms. While the Reserve Bank of India has implemented a repo rate cut to 5.25%, the SEBI has introduced new rules to simplify IPO documentation and lower mutual fund expenses. Specific companies like IndiGo and Eternal are facing operational and market challenges, leading to notable share price volatility. Despite these local pressures and the impact of US tariffs, India's trade deficit has narrowed, aided by resilient export demand. Overall, market sentiment remains cautiously optimistic as investors react to cooling global inflation and evolving corporate fundamentals.
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