How Market Volatility Impacts Stock Selection in 2025

By: 5paisa  10 January 2025

Reliance Industries shows volatility in 2025 as it navigates challenges across its telecom, retail, and energy sectors, with fluctuating oil prices and evolving consumer trends impacting its stock performance.

Infosys faces market volatility in 2025 due to changes in global IT spending, currency fluctuations, and competition from global tech players, making it a stock with potential but unpredictable movements.

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Adani Green Energy’s stock is volatile in 2025, driven by the growing renewable energy sector’s potential, but regulatory challenges and shifting investor sentiments contribute to significant price fluctuations.

HDFC Bank’s stock sees fluctuations as it adjusts to evolving interest rate policies and macroeconomic factors in India, reflecting a balance of stability and market-driven volatility in the banking sector.

Tata Steel’s stock is affected by volatility in commodity prices and global trade policies in 2025, with supply chain disruptions and fluctuating steel demand shaping its performance in the market.