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Indian markets are showing resilience with broad-based buying across banking and IT sectors. The NIFTY 50 is trading near its 52-week high with strong institutional participation. Mid and small cap indices are outperforming, suggesting risk appetite remains healthy. Key triggers to watch: RBI policy stance, Q4 earnings season, and global FII flows.
Specialty chemicals sector showing signs of recovery after 18-month consolidation. Companies with strong export order books and China+1 positioning appear attractive for long-term investors.
FMCG sector faces valuation headwinds with most large-caps trading at 50-70x PE. Volume growth recovery is slow. Investors should be selective and wait for better entry points.
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