Indian equity markets posted mixed performance as banking, auto and FMCG stocks showed resilience while metals and IT counters weakened due to global volatility. Traders tracked fluctuations in global bond yields and foreign investor flows as risk sentiment remained cautious. Analysts highlighted selective buying in high-quality large caps and advised monitoring company earnings, sectoral policy changes and liquidity indicators. Market participants also evaluated price movements in key stocks using research dashboards for trends and risk alerts.