New Delhi, Nov. 11 -- The Indian market in 2025 has been a tale of three chapters. The year started with the market experiencing significant volatility, led by valuation corrections and geopolitical uncertainties. It followed a recovery-led rally, driven by strong financials, large-cap strength, and positive but modest foreign institutional investor (FII) flows over the preceding four months. We are again witnessing volatility due to tariff-related uncertainty and FII outflows.

While market volatility remains unpredictable, unsettling and hard to navigate, it's a natural part of investing, especially in emerging markets like India. Understanding the psychological traps that accompany volatility can help investors make more informed decis...