Broad market indices show mixed 1‑month returns, with small‑cap indices up ~13% and Nifty 50 down ~0.8%.
Thematic indices highlight strong performance in Defence (+37% YoY) and Capital Markets (+51% YoY) total returns.
Sectoral indices reveal IT down ~6% 1‑month, while Metal up ~8% and Financial Services mixed.
Strategy indices show high‑beta and alpha funds delivering double‑digit 1‑month gains, while inverse products underperform.