🇮🇳 Market Cautious Amid Global Headwinds Indian markets exhibited caution, driven by several macro factors. Uncertainty surrounding **US tariff rulings**, sustained **Foreign Institutional Investor (FII) outflows**, and a general rise in **global bond yields** contributed to the subdued sentiment. The **Indian Rupee (INR)** experienced weakening, adding pressure to the market environment. Technically, the **Nifty** index maintained a bearish stance, trading close to its **200-Day Moving Average (200-DMA)**, a key support indicator. Ahead of the upcoming earnings season and further developments in global cues, the **Mid-Cap** and **Small-Cap** segments showed marked underperformance.