I am Niranjan Ghatule, a B.Tech graduate in Electrical Engineering with a strong passion for the financial markets. With over 5 years of hands-on experience in the stock market, I have developed deep expertise in equity research, market analysis, and trading strategies.
Posts by Niranjan Ghatule:
Quant Small Cap Fund’s July 2025 portfolio reveals fresh entries in Anthem Biosciences, Marathon Nextgen Realty, and Gland Pharma, major stake hikes in small-cap stocks, and complete exits from Aadhar Housing Finance and Chambal Fertilizers, even as NAV falls 6.53% YoY and AUM drops ₹166 crore.
A viral claim of 3.3 lakh tonnes of gold found in Jabalpur has taken social media by storm, but the truth is far more complex. This article uncovers the real Geological Survey of India findings, explains gold-bearing ore, assesses India’s economic gains if viable, and outlines the environmental, technical, and social challenges before mining can begin.
PG Electroplast Limited (PGEL) shares hit a 10% lower circuit after the company sharply cut its FY26 revenue, PAT, and product business growth guidance. The flagship PG Group firm, a leading Indian electronic manufacturing service provider, revised its outlook amid business challenges. Here’s a detailed look at the guidance cuts, business segments, clientele, manufacturing presence, and June 2025
US-India relations face new strain as Donald Trump threatens a record 250% tariff on Indian medicines, risking higher drug prices in the US. India eyes Russia’s $45B pharma market as an alternative, while China backs New Delhi in a rare move.
Tata Motors Q1 FY25 PAT falls 30% YoY to ₹3,924 crore, hit by weak JLR demand, tariff uncertainty, and margin pressure. Brokerages give mixed ratings with targets ranging from ₹550 to ₹805, highlighting strong CV performance but challenges in PV and JLR segments.
Pakistan’s Army Chief Asim Munir’s alleged nuclear warning has sparked strong reactions from India and concern across the globe. Experts warn that such rhetoric risks catastrophic consequences in densely populated South Asia.
India has responded to the US’s 50% tariff with a smart diplomatic move—securing a 1 million barrel crude oil deal with Nigeria. This strategic shift strengthens India’s energy security, maintains ties with Russia, balances relations with the US, and expands influence in Africa through energy diplomacy and trade cooperation.
Stay updated on this week’s crucial market events including dividend ex-dates, major corporate earnings, AGMs, macroeconomic data from India, US, UK, Eurozone, China, and Japan, plus central bank speeches and global oil market reports that could shape investor sentiment.
A detailed look at Forbes’ list of the world’s richest people from 1987 to 2025, highlighting the shifts in wealth, industries, and global economic trends that shaped nearly four decades of financial history.
NSE CEO Ashish Kumar Chauhan cautions small investors about the risks of derivatives trading, gives a major update on NSE IPO status, and outlines India’s $30 trillion economy vision by 2037 at BT India@100 Summit.
A detailed analysis of the top 10 companies where promoters increased their stake in the June quarter, including changes in shareholding patterns, institutional participation, and ownership trends. This educational report highlights promoter confidence levels, market signals, and potential red flags investors should note.
Explore the top 8 sectors in India least affected by Trump’s tariff actions. Find out how these industries maintain steady growth even amid global trade tensions.