Sensex Tanks 573 Points, Nifty Falls to 24,718: Israel-Iran Tensions Aur Crude Oil Price Ke Chalte Market Gira
13 June 2025 ko Indian Stock Market ne apna worst week in a month record kiya. Sensex 573.38 points gira aur Nifty 169.60 points ke nuksan ke saath band hua. Ye girawat ka main reason tha Israel-Iran geopolitical tension aur Brent crude oil prices ka spike.
Market Summary: Sensex aur Nifty ki Halat
BSE Sensex 573.38 points ya 0.70% gir kar 81,118.60 par band hua. Morning trade ke dauraan Sensex 1,337 points tak neeche gaya tha – 80,354.59 ka low touch kiya. NSE Nifty bhi 169.60 points ya 0.68% gir kar 24,718.60 par close hua.
Girawat Ke Peeche Ke Mukhya Karan
- Crude Oil Prices Spike: Brent crude oil ke daam sudden jump kar gaye $89 per barrel se upar, jo Indian economy ke liye negative signal hai.
- Geopolitical Tensions: Israel ne Iran ke Tehran par airstrike kiya, jiske baad Middle East mein full-blown war ka fear badh gaya.
- Weak Global Cues: US aur Europe ke markets bhi red zone mein the, jiska impact Indian equity par bhi pada.
- FII Outflows: Foreign Institutional Investors ne lagatar second day heavy selling ki, risk factors ke chalte.
Top Losers: Kin Companies Ko Sabse Zyada Nuksan Hua?
Sensex ke top laggards mein kuch bade naam shamil rahe:
- Adani Ports
- ITC
- State Bank of India (SBI)
- IndusInd Bank
- HDFC Bank
- Titan
- Kotak Mahindra Bank
- UltraTech Cement
HDFC Bank ne Sensex ko sabse zyada drag kiya.
Top Gainers: Kaun Bacha Market Mein?
Itne negative sentiment ke bawajood kuch companies ne positive returns diye:
- Tech Mahindra
- Tata Consultancy Services (TCS)
- Sun Pharma
- Maruti Suzuki
Sectoral Impact: Kaunse Sector Sabse Zyada Affected Rahe?
- FMCG: Consumption stocks down rahe, major drag ITC ki wajah se.
- PSU Banks: SBI aur Bank of Baroda jaise stocks mein sharp fall dekha gaya.
- Banking aur Financials: HDFC Bank aur Kotak Mahindra Bank ne drag create kiya.
Global Markets Ka Impact
US mein Nasdaq aur Dow Jones bhi red zone mein the. Asian markets jaise Nikkei, Hang Seng aur Kospi bhi sharply down the. Investors ne safe assets jaise gold mein investment shift kiya.
Investors Ka Mood: Fear vs Patience
Retail investors panic mein sell-off kar rahe the, jabki kuch long-term investors is girawat ko “buying opportunity” ke roop mein dekh rahe hain. Analysts keh rahe hain ki jab tak Middle East situation thik nahi hoti, market mein volatility bana rahega.
Aage Kya Expect Karein?
Market experts ka maanna hai ki agar crude oil price aur geopolitical tension stabilize ho jayein, toh Indian market rebound dekh sakta hai. Lekin short term mein volatility aur risk high rahega.
Conclusion
13 June 2025 ka din investors ke liye kaafi tough raha. Global cues, rising oil prices, aur war fears ne market sentiments ko kaafi affect kiya. Jo investors long-term view ke saath invest karte hain, unke liye yeh samay cautious buying ka ho sakta hai. Par short-term traders ke liye risk high hai.
FAQs
Q. Sensex 573 points kyun gira?
A. Israel-Iran tension, crude oil price spike, aur weak global cues iske major reasons the.
Q. Abhi investment safe hai ya nahi?
A. Long-term investors ke liye selected stocks mein investment safe ho sakta hai, lekin short-term mein volatility zyada hai.
Q. Top losers kaunse the?
A. Adani Ports, HDFC Bank, ITC, SBI, Titan jaise stocks sabse zyada gire.
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