scorecardresearchHow tightening US monetary policy is causing volatility for Indian stocks, Morgan Stanley explains

How tightening US monetary policy is causing volatility for Indian stocks, Morgan Stanley explains

Updated: 29 Sep 2022, 11:13 AM IST
TL;DR.
Indian equity return correlations with the rest of the world have risen in recent weeks and could remain elevated for now, a Morgan Stanley's report titled India Equity Strategy: Events to Watch: 4Q22 - Volatility, Correlations and Potential Big Moves, authored by Ridham Desai, Sheela Rathi, Nayant Parekh, Apurva Jain, said.
FILE PHOTO: The logo for Morgan Stanley is seen on the trading floor at the New York Stock Exchange (NYSE) in Manhattan, New York City, U.S., August 3, 2021. REUTERS/Andrew Kelly/File Photo/File Photo

FILE PHOTO: The logo for Morgan Stanley is seen on the trading floor at the New York Stock Exchange (NYSE) in Manhattan, New York City, U.S., August 3, 2021. REUTERS/Andrew Kelly/File Photo/File Photo