Last week was marked by volatility, sector rotation, and cautious investor sentiment across global markets. Technology stocks faced selling pressure, commodities fluctuated, and investors remained careful amid uncertainty around global growth and interest-rate outlooks.
Major markets such as United States, India, and Europe experienced mixed performance as investors reduced risk exposure and moved selectively into safer assets.
Weekly Overview
- Technology stocks corrected globally.
- Market volatility increased across Asia and the US.
- European markets showed relative resilience.
- Commodity prices fluctuated.
- IPO activity slowed due to market uncertainty.
- Institutional investment flows remained mixed.
Overall, markets moved into a risk-off mode, with investors focusing on safety and stability.
Global Index Performance (Weekly Data)
Key global indices performance by the end of trading on 13 February 2026:
| Index | Closing Level | Weekly Trend |
| Dow Jones | 49,380 | Slight decline |
| Nasdaq Composite | 22,593 | ↓ ~2% |
| S&P 500 | 6,832 | ↓ ~1.5% |
| FTSE 100 | 10,420 | ↑ ~0.2% |
| Nikkei 225 | 56,965 | ↓ ~1.2% |
| Hang Seng | 26,557 | ↓ ~1.8% |
| GIFT Nifty | 25,453 | Weak bias |
Key takeaway: US technology-heavy indices underperformed, while some European markets showed resilience.
Indian Market Performance
Market performance on 13 February:
- Sensex closed near 82,626 (−1.25%)
- Nifty 50 closed near 25,471 (−1.30%)
- Midcap & Smallcap indices fell nearly 1.7–1.8%
- IT and banking stocks led declines
Selling pressure intensified toward the end of the week as global cues weakened.
Why Markets Fell Last Week
Several factors drove market weakness:
• Technology stocks saw profit booking after strong rallies.
• Interest-rate uncertainty continued globally.
• Investors reduced exposure to high-valuation growth stocks.
• Global economic slowdown concerns resurfaced.
Investors preferred safer sectors and defensive stocks.
Major Business Deals & Corporate Activity
Corporate activity remained steady, with ongoing partnerships and investments across technology, infrastructure, and financial services sectors.
Trade negotiations and policy discussions involving economies within the European Union also influenced global trade outlooks.
While deal announcements continued, weak market sentiment limited immediate stock price reactions.
New Product & Technology Launches
Major global companies announced:
- AI-driven software upgrades
- Electric vehicle technology developments
- Cloud and enterprise data service expansions
However, due to market weakness, these announcements did not significantly lift stock prices.
Top Gainers of the Week
Exchange and trading platform operators benefited from higher trading activity:
• Cboe Global Markets, Inc. gained as trading volumes rose.
• Intercontinental Exchange, Inc. also saw investor interest late in the week.
These stocks performed better relative to broader market declines.
Top Losing Sectors
The biggest declines were seen in:
- Technology stocks
- Metal & mining stocks
- High-growth midcap stocks
The correction was broad-based across global tech counters.
Technology-heavy exchanges linked to companies such as Nasdaq, Inc. saw pressure as tech valuations cooled.
Commodity Market Update
Crude Oil
Oil prices softened due to supply concerns and demand uncertainty.
Gold & Silver
Gold recovered toward the end of the week as investors moved toward safe-haven assets amid equity volatility.
FII/FPI & DII Investment Flows
Global Investment Trends
- European equity funds saw strong inflows.
- Asian markets also attracted investment.
- US equity funds experienced outflows as investors reduced exposure.
India Investment Flow
Domestic institutional investors provided support during market dips, while foreign investors showed selective buying interest after recent selling phases.
IPO Market Activity
IPO activity slowed globally as companies postponed or resized offerings due to volatile market conditions. Investor appetite for new listings remained cautious.
Weekly Market Insight — Simple Conclusion
✔ Markets are in a cautious phase
✔ Technology stocks remain under pressure
✔ Investors are moving toward safety
✔ Market volatility remains high
✔ Long-term investors may look for selective opportunities
In summary, markets are undergoing a healthy correction phase, and investor focus is shifting toward stability and value rather than aggressive growth.




































































