Equity markets are navigating a complex environment shaped by inflation trends, foreign institutional investor activity and shifting global cues. Movements in prices, interest-rate expectations and cross-border capital flows are influencing investor sentiment and day-to-day market direction. While domestic fundamentals remain supportive, external developments—from central bank decisions to geopolitical tensions—continue to inject volatility. Market participants are closely tracking inflation data for signals on monetary policy, alongside FII positioning as a gauge of risk appetite.