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🌍 Global Focus Angle  “Global Overhang Weighs on Dalal Street; IT and FIIs Drive Market Lower”

🌍 Global Focus Angle “Global Overhang Weighs on Dalal Street; IT and FIIs Drive Market Lower”

Indian equities witnessed a sharp and broad-based sell-off today. After a muted start, selling pressure intensified through the session, dragging benchmarks close to multi-month lows by the close. Broader markets declined more than frontline indices, reflecting risk reduction and profit booking.

Category : Daily Brew
Author : Nikhil Sareen
Published By : Rupie Times Desk
Date : 02 Mar 2026

📊 Closing Snapshot – 2 March 2026

Nifty 50: 24,865.70 (−313 pts | −1.24%)
Sensex: 80,238.85 (−1,048 pts | −1.29%)
Midcap Index: Weak
Smallcap Index: Underperformed
India VIX: Elevated
Brent Crude: Firm near recent highs


Indian equities witnessed a sharp and broad-based sell-off today. After a muted start, selling pressure intensified through the session, dragging benchmarks close to multi-month lows by the close. Broader markets declined more than frontline indices, reflecting risk reduction and profit booking.


🔍 What Drove Today’s Decline?

1️⃣ IT Sector Pressure

The IT index remained under stress amid:

  • Rising concerns around AI-led disruption

  • Weak global tech demand outlook

  • Margin pressure fears

  • Continued uncertainty in US and European markets

Large-cap IT names were among the top contributors to index losses.


2️⃣ Persistent FII Selling

Foreign Institutional Investors continued to remain net sellers due to:

  • Elevated US bond yields

  • Stronger dollar

  • Global trade/tariff uncertainties

Large caps bore the brunt of the selling, while domestic flows offered limited support.


3️⃣ Firm Crude Oil

Brent crude staying elevated kept macro concerns alive:

  • Inflation risks remain

  • Pressure on the rupee

  • Rate-cut expectations may get delayed

Higher oil prices restricted recovery attempts during the day.


4️⃣ Broader Market Weakness

Midcaps and smallcaps corrected more sharply:

  • Momentum-driven counters saw unwinding

  • Risk appetite narrowed

  • No meaningful sector rotation visible

The selling was controlled but decisive — not panic-driven.


🌍 Global Overhang

Market sentiment continues to track global cues:

  • US macro data and bond yields

  • Ongoing trade/tariff developments

  • AI-related global tech volatility

  • Geopolitical tensions supporting crude

External triggers remain dominant.


📈 Market Structure

Today’s structure suggests:

  • Weak intraday pullbacks

  • Supply emerging on rises

  • Defensive sectors relatively resilient

  • Leadership narrowing

Momentum has clearly cooled.


🔮 What to Watch Ahead

  • Crude oil trajectory

  • FII flow trend

  • US macroeconomic data

  • Global trade policy developments

  • IT sector commentary


🧠 The Big Takeaway

The market appears to be entering a volatile consolidation phase.

  • IT remains vulnerable

  • Broader markets are correcting faster

  • Crude is firm

  • Risk appetite is selective

Stability is being tested, and conviction will need rebuilding before the next directional move unfolds.

Written By Rupie Times Desk

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