On the back of some hard selling by FIIs , rising US Bond Yields & the anticipation ahead of Budget, markets seem to have taken a breather and may also continue to remain volatile for a few more sessions. All benchmark indexes fell by about 3 odd percent this week. Almost all sectors ended the week in negative territory except for ENERGY. IT (-7.1%) & PHARMA (-5.1%) were hit the most. Weekendinvesting products also followed the markets with losses between (-1%) & (-6%) across products. The performance metrics are tabulated below.
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