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Reading: Sensex zooms 2,900 factors, Nifty eyeing 25K. Do you have to belief the inventory market rally or it’s a entice in disguise?
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StockWaves > Financial News > Sensex zooms 2,900 factors, Nifty eyeing 25K. Do you have to belief the inventory market rally or it’s a entice in disguise?
Financial News

Sensex zooms 2,900 factors, Nifty eyeing 25K. Do you have to belief the inventory market rally or it’s a entice in disguise?

StockWaves By StockWaves Last updated: May 12, 2025 5 Min Read
Sensex zooms 2,900 factors, Nifty eyeing 25K. Do you have to belief the inventory market rally or it’s a entice in disguise?
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Contents
Reside OccasionsHowever is that this rally constructed to final?Dangers on the radar
Led by quick overlaying, Dalal Road roared again to life in dramatic vogue on Monday, with the Sensex vaulting over 2,900 factors and the Nifty surging previous 24,900, notching positive aspects of greater than 3.5%. The rally took each indices to their highest ranges since December 16, 2024. The set off? A shock ceasefire settlement between India and Pakistan after 4 tense days of navy hostilities.

The rally was additional supported by international tailwinds, together with a thaw in U.S.-China tariff tensions and surprising progress in Russia-Ukraine ceasefire talks.

“The ceasefire between India and Pakistan has paved the way in which for a pointy rally available in the market,” stated Dr. VK Vijayakumar, Chief Funding Strategist at Geojit Monetary Companies. He emphasised that the rally was not merely sentiment-driven however was underpinned by sustained overseas fund inflows.

“The prime mover of the rally will probably be FII shopping for, which has been sustained for sixteen steady classes, barring final Friday when the battle escalated. That form of consistency speaks volumes.”

Vijayakumar additionally pointed to a convergence of sturdy home macros, together with sturdy GDP expectations for FY26, a revival in company earnings, and a continued decline in inflation and rates of interest.

Reside Occasions


“This isn’t only a bounce. These are the constructing blocks of a rally that may prolong,” he added.Amongst Nifty bluechips, Adani Enterprises, Infosys, HCL Tech, and Wipro had been up over 6% every, whereas smallcaps like Netweb Tech, Syrma, Reliance Energy, and MapMyIndia jumped no less than 10%.Markets are reacting not simply to current aid, but additionally to future prospects. The U.S. and China have agreed to drastically roll again tariffs on one another’s items for an preliminary 90-day interval. Individually, hopes of peace talks between Russia and Ukraine are serving to soothe investor nerves globally.

“The market is buying and selling greater in the present day, pushed by a wave of favorable geopolitical developments which have underpinned general investor optimism,” stated Swapnil Aggarwal, Director at VSRK Capital.

“The India-Pakistan ceasefire was the primary spark. Then got here indicators of de-escalation in Russia-Ukraine tensions and renewed dialogue on international commerce. It’s all created a strong risk-on temper.”

However is that this rally constructed to final?

Manish Goel, Founder and MD of Equentis Wealth Advisory Companies, urged warning however not worry.

“The basics of our nation are very sturdy. Current inflation and PMI knowledge reaffirm the power of India’s macroeconomy. Sure, international occasions just like the Trump tariff bulletins and the India-Pakistan border escalation triggered volatility over the previous 30–45 days. Nevertheless, such episodes, although unsettling, hardly ever alter India’s long-term progress trajectory.”

Goel believes volatility ought to be seen as a possibility, not a risk.

“Historical past reveals markets right almost yearly—but they get well, typically swiftly. Buyers who deal with these dips as shopping for alternatives, not exit indicators, have a tendency to learn essentially the most.”

He advises retaining round 10% of a portfolio in money or low-volatility devices, able to be deployed when worry drives costs decrease.

“It’s not about timing the market—it’s about being ready to behave when it issues most. The market is sort of a battlefield. When you wait till peace is said, you’ve already missed the positive aspects.”

Dangers on the radar

Nonetheless, dangers stay. One sector already flashing warning indicators is pharma. Vijayakumar pointed to stress on Indian drugmakers following President Trump’s renewed push to cut back drug costs within the U.S., a key export market.

“Margins might be squeezed within the close to time period. Pharma might lag the broader rally,” he warned.

Others imagine that whereas the rally relies on actual developments, it could overshoot within the quick time period.

“Merchants are likely to recover from enthusiastic when uncertainty fades,” stated a senior fairness strategist at a overseas brokerage, requesting anonymity. “We’ve seen this earlier than—sharp aid rallies that later consolidate. That stated, the shopping for has been broad-based, and institutional flows are wanting sticky.”

Because the market stands on the crossroads of geopolitical détente and financial inflection, buyers are left to decode the following transfer. The temper is bullish, the screens are inexperienced, and—for now—worry has taken a again seat.

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