Decoding Volatility: What VIX and IV Are Telling Us in 2025
4 Articles
4 Articles
Decoding Volatility: What VIX and IV are telling us in 2025
In 2025, Indian markets have surged to record highs despite global headwinds, with volatility indicators like India VIX and Implied Volatility (IV) painting a picture of surprising calm. The VIX has remained range-bound between 12 and 16, signalling investor confidence, while ATM IVs for Nifty options suggest low volatility with occasional spikes around key events.
Indian stock market shrugs off midweek volatility, ends week on robust note
Indian stock market shrugs off midweek volatility, ends week on robust noteIANS The Indian equity benchmarks wrapped up the session on a robust note last week, decisively breaking through critical resistance level, propelled by sustained institutional accumulation, analysts said on Saturday. The Nifty 50 convincingly closed above the psychologically significant 25,000 mark on Friday, underscoring bullish momentum. At the closing bell, the Sensex…
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