From Euphoria to Panic: How the Iran-Israel Conflict Shook Dalal Street
On 24th June 2025, Indian equities experienced intense volatility driven by escalating Middle East tensions. Markets opened with optimism after the US President announced a ceasefire between Iran and Israel on social media, propelling Nifty past its 2025 high.
But sentiment reversed sharply around 1 PM, when reports surfaced of a fresh Iranian missile attack on Israel, followed by Israel granting its military a “free hand” to respond. Panic selling ensued — Nifty dropped over 300 points, and Sensex fell nearly 1000 points from intraday highs.
Timeline Highlights:
13 Jun 2025: Iran-Israel conflict begins
22 Jun 2025: U.S. strikes Iran; Iran hits U.S. base
22 Jun 2025: Iran hits U.S. base in Qatar
24 Jun 2025: Ceasefire news → market rally → renewed attacks → sharp sell-off
Technical Outlook:
Resistance: 25,335 | Support: 24,730
Markets remain highly sensitive and unpredictable. Traders should manage risk; investors must prioritize capital safety.
Today among Nifty-50

















