Negative impactEconomy HIGH IMPACT

Indian Markets Log 8th Straight Weekly Decline: Six Factors Driving The Worst Selloff In 25 Years

NDTV Profit 1 hr ago·1 Oct 2026, 10:33 am

Indian equity benchmarks have posted their eighth consecutive weekly decline, marking the longest losing streak for the Nifty 50 since 2001. This prolonged correction is the most severe in 25 years, driven by a confluence of global headwinds including persistent US inflation, aggressive interest rate hikes, and a strong US dollar. Domestically, investor sentiment has been dampened by rising crude oil prices and a lack of fresh domestic triggers.

For investors, this trend highlights the current disconnect between global risk appetite and domestic markets. The continuous decline has eroded market breadth, and the absence of a clear bottom suggests that volatility is likely to remain elevated. It is crucial for retail investors to remain patient and avoid panic-selling during such phases, as market corrections are a natural part of the investment cycle.

Moving forward, the market will closely watch the upcoming US inflation data and the Reserve Bank of India's policy stance for any signs of reversal. Investors should also keep an eye on domestic earnings results and global cues to gauge the market's recovery potential.

Key takeaways

  • Category: Economy.
  • AI reads the tone as negative (potentially bearish) for the stock.
  • Flagged as a high-impact, market-moving story.

Why it matters

This is a high-impact development and could move the stock. The tone is negative — watch for downside reaction. Use the price and stock snapshot to gauge how the market is responding.

Summary & analysis by DocStoX. Full story at NDTV Profit.

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Aggregated from third-party sources for research. Sentiment & impact are AI-generated, indicative, not advice.