Uncertainties in global geopolitics such as the Russia-Ukraine War, conflicts in the Middle East, tension between the US and China, and Trade Policy of President Trump in the US have contributed to market volatility and have impacted investor behaviour in the Indian market. This paper attempts to analyse the effect of such global incidents on the Indian Mutual Fund sector using secondary data. It helps conclude that there is pressure in the short term, but growth is possible in the longer term
Dr. Nitin Dhawale (Fri,) studied this question.