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Reading: US strikes on Iran might rattle markets: Will Nifty, Sensex react to escalating geopolitical threat?
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StockWaves > Financial News > US strikes on Iran might rattle markets: Will Nifty, Sensex react to escalating geopolitical threat?
Financial News

US strikes on Iran might rattle markets: Will Nifty, Sensex react to escalating geopolitical threat?

StockWaves By StockWaves Last updated: June 22, 2025 5 Min Read
US strikes on Iran might rattle markets: Will Nifty, Sensex react to escalating geopolitical threat?
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Contents
Affect on marketsOil influenceReside OccasionsGreenback & safe-haven belongingsFIIs might flip cautiousTechnical View
Indian equities closed the week 1.6% larger, recovering from a three-day dropping streak as markets bounced again sharply on Friday. Nevertheless, the temper might flip cautious on Monday amid rising geopolitical tensions, following the U.S. airstrikes on Iranian nuclear websites.

On Saturday, U.S. President Donald Trump confirmed that American forces carried out coordinated airstrikes on three nuclear websites in Iran—Fordow, Natanz, and Esfahan—in an effort to dismantle Tehran’s nuclear capabilities. “All planes are actually exterior of Iran’s area. A full payload of bombs was dropped on the first web site, Fordow. All planes are safely on their manner house,” Trump stated in a social media submit.

Affect on markets

The escalation is anticipated to weigh closely on threat sentiment globally. In line with Kranthi Bathini, Director of Fairness Technique at WealthMills Securities, “Markets have progressively change into accustomed to geopolitical tensions. That’s why, regardless of rising battle, Indian markets ended the week on a optimistic observe. Nevertheless, traders are prone to stay cautious and range-bound close to the 25,000 degree on Nifty till there’s extra readability on Iran’s response.”

Bathini added that Center East developments and crude oil dynamics can be key drivers within the coming days. “Any sharp spike in oil costs might negatively influence Indian equities within the brief to medium time period.”

Oil influence

Crude oil costs have already been on the rise amid tensions in West Asia. Brent crude has surged over 15% to $77 per barrel, whereas WTI crude has jumped 17% to $74.9 up to now eight buying and selling periods. The most recent U.S. strikes might add gas to the rally, notably if Iran retaliates or strikes to dam the Strait of Hormuz—a significant choke level by which practically 20% of world oil flows.

Reside Occasions


A surge in oil costs might not solely elevate inflationary pressures but additionally scale back the chance of near-term price cuts, which might additional dampen market sentiment.Nilesh Shah, Managing Director at Kotak Mahindra AMC, stated a spike in oil costs or provide disruption might dent investor confidence.“We have to watch each the supply and value of oil. Now we have sufficient FX reserves to handle larger oil costs in double digits. But when costs cross triple digits or provide will get restricted, it’s going to adversely influence markets,” Shah famous, advising merchants to stay cautious whereas long-term traders can use corrections as shopping for alternatives.

Greenback & safe-haven belongings

Whereas the greenback has weakened this 12 months amid fears of declining U.S. exceptionalism, analysts counsel that direct American involvement within the Iran-Israel battle might quickly increase the dollar because of a flight to security. Nevertheless, if the battle widens, the greenback’s path will rely upon the broader threat sentiment and U.S. financial information.

FIIs might flip cautious

Overseas institutional traders (FIIs), who had been internet consumers in Could with Rs 19,860 crore inflows, have turned cautious in June. As of June 20, they’ve bought shares value Rs 4,192 crore, in accordance with NSDL information.

Dr. VK Vijayakumar, Chief Funding Strategist at Geojit Monetary Companies, stated, “FPI flows are prone to stay unstable and delicate to geopolitical dangers, particularly with the West Asia struggle escalating.”

A powerful greenback and motion in U.S. bond yields might additionally influence FII sentiment within the close to time period.

Technical View

“25k is certainly a frightening problem. Earlier makes an attempt to clear the identical had proved to be short-lived as there was hardly any comply with by momentum, thus resulting in a pointy withdrawal. Therefore the re strategy of the 25k mount is accompanied by issues of sustainability. Being on the higher Bollinger band as nicely, it could require additional momentum to proceed the uptrend. ADX at 13.2 doesn’t point out sturdy momentum both. However, upswing makes an attempt could also be seen initially, however might not clear the 25200-460 band. Alternatively, incapability to drift above 25045 might see dips, however will anticipate 24865 to modify sides,” stated Anand James of Geojit.

Additionally Learn: $2.4 trillion value of gold! India’s family hoard is 6x Pakistan’s financial system

(Disclaimer: Suggestions, ideas, views, and opinions given by the specialists are their very own. These don’t characterize the views of Financial Occasions)

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