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Hormuz crisis deepens India’s risks | Economy

This report analyses the escalating Middle East conflict and risks to India from potential disruption in the Strait of Hormuz. It highlights macro pressures from higher crude prices, including inflation, currency weakness, and rising yields. Sectorally, most industries face headwinds, with limited positives for upstream energy and shipping. Overall, it underscores heightened macro uncertainty and downside risks to growth and markets.

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