The Indian stock market has exhibited mixed movement with notable indices such as the Sensex recording declines in sectors including IT, media and real estate, while major individual stocks like Bajaj Finance and Maruti Suzuki remain in focus for active traders. Broader market sentiment has been tempered by global uncertainties, including geopolitical tensions and tariff concerns, leading investors to reassess risk exposures. Sectoral performance disparities suggest that while some companies benefit from internal growth narratives, others are feeling the impact of slower global demand and currency fluctuations, underscoring the delicacy of emerging market equities amid shifting macroeconomic conditions.









