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India's BSE Sensex closed marginally down at 85,213 on Monday, ending a two-day advance, amid persistent foreign fund outflows and lingering uncertainty over a potential US-India trade deal.
Foreign outflows from Indian equities have totaled $2 billion so far in December, marking the worst sell-off in three months.
Meanwhile, India's trade secretary said today that the US and India were close to a "framework deal", without providing any timeline.
Last week, India's chief economic advisor said that a trade deal is likely only by March.
Weakness in auto and financial stocks offset buying in FMCG, consumer durables and IT sectors.
Mahindra and Mahindra, Maruti, Tata Motors Passenger Vehicles saw heavy selling pressure, after JM Financial said auto and auto components could be among the worst affected from tariff hike by Mexico.
Adani Ports, Bajaj Finserv, Titan, HDFC Bank also posted significant losses.





IT40 increased to 44054.00 Index Points, the highest since November 2025.
Over the past 4 weeks, Italy Stock Market Index (IT40) gained 0.62%, and in the last 12 months, it increased 26.77%.





PX increased to an all-time high of 2582.00 Index Points.
Over the past 4 weeks, Prague Stock Exchange gained 4.92%, and in the last 12 months, it increased 46.39%.





In Mumbai, the SENSEX Index fell 84 points or 0.10 percent on Monday.
Leading the losses are Mahindra & Mahindra (-1.95%), Adani Ports (-0.84%) and Bajaj Finserv (-0.77%).
Top gainers were Hindustan Unilever (1.25%), HCL Tech (0.79%) and Infosys (0.55%).





ISEQ increased to an all-time high of 13019.00 Index Points.
Over the past 4 weeks, Irish Stock Exchange Overall Index gained 7%, and in the last 12 months, it increased 34.09%.





BRUSSELS/FRANKFURT/PARIS (dpa-AFX) - European stocks traded higher on Monday ahead of a busy week for U.S. economic data and a slew of central bank decisions.
Investors shrugged off data that showed Germany's wholesale price inflation accelerated in November to the highest level in nine months.
Wholesale prices rose 1.5 percent year-over-year in November, faster than the 1.1 percent rise in October. Moreover, this was the highest rate since February, when prices rose 1.6 percent.
The pan-European Stoxx 600 was up half a percent at 581.20 in early trade. The German DAX edged up by 0.4 percent, France's CAC 40 climbed 0.6 percent and the U.K.'s FTSE 100 was up half a percent.
In corporate news, health technology company Royal Philips fell 1.4 percent after it has entered into an agreement to acquire SpectraWAVE.
Sika gained half a percent. The specialty chemicals company said it would acquire Finja for an undisclosed amount.
Sanofi shares slumped 5 percent. The French pharmaceutical firm said its experimental drug tolebrutinib failed to meet its primary endpoint in a Phase 3 clinical trial.
Also, the company said a U.S. regulatory decision on its tolebrutinib experimental treatment for a type of multiple sclerosis would likely be delayed again.
Hikma Pharma lost 1.7 percent after its Chief Executive Officer Riad Mishlawi stepped down by mutual agreement.
Defense stocks were under pressure after Volodymyr Zelenskyy offered to drop Ukraine's aspirations to join the Nato military alliance following talks with the United States. Rheinmetall dropped 1.8 percent and Renk shed 2.2 percent.
Copyright(c) 2025 RTTNews.com. All Rights Reserved
Copyright RTT News/dpa-AFX





WIG increased to an all-time high of 114457.00 Index Points.
Over the past 4 weeks, Warsaw Stock Exchange WIG Total Return Index gained 3.33%, and in the last 12 months, it increased 39.96%.
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