Indian stock markets are poised to react to geopolitical developments, macroeconomic data, and corporate earnings this week. The recent India-Pakistan agreement to halt military actions is expected to positively influence investor sentiment. Focus will be on CPI, WPI data, Q4 results of major companies, and FII activity, with experts advising a long-term investment outlook despite recent market pressures. Post navigation भारत-EU के बीच FTA पर 11वें-राउंड की बातचीत कल से:ये 16 मई तक चलेगी, 2025 के आखिरी तक पूरा हो सकता है फ्री ट्रेड एग्रीमेंट Retail F&O trades still high despite Sebi curbs; fresh review likely to reassess risks