War, Oil & Market Crash: What It Means For Investors | Mihir Vora LIVE
- Updated Mar 23, 2026 5:33 PM IST
Markets are witnessing unprecedented volatility as benchmark indices tumble, with the Sensex, Nifty, and Bank Nifty among the worst-performing globally in 2026. Selling pressure has intensified across asset classes, including equities, gold, and silver, amid rising geopolitical tensions and energy uncertainty. In this episode of Market Guru, Trust Mutual Fund CIO Mihir Vora shares crucial insights on navigating this market turmoil. From asset allocation and SIP strategies to sector outlook and risk management, he outlines how investors should approach their portfolios during extreme uncertainty. Should you invest, pause, or stay put? Is this a buying opportunity or a time for caution? Watch this detailed discussion to understand market direction, long-term strategy, and how to stay resilient in volatile times.
