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D Street gears up for the week as Q4 earnings and FII moves collide
Economy
Published on 10 May 2026

FII selling pressure may decide the index direction
Indian markets face a heavy week with Q4 earnings from multiple companies set to drive stock-specific moves. Ongoing foreign institutional investors’ selling remains a key risk to sentiment. Investors will also track Middle East geopolitics, US market cues, crude oil prices, and the rupee’s movement versus the dollar for fresh triggers.
- Q4 earnings will be the main driver for stock selection
- Continued FII selling could weigh on market mood
- Crude oil and rupee moves may quickly change risk appetite
- Middle East tensions and US market direction add volatility
Read the full story at The Economic Times
This summarization was done by Beige for a story published on
The Economic Times
