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:
Discover where the big money flowed in April as we break down the sector-wise investment trends of Mutual Funds (MFs) and Foreign Institutional Investors (FIIs).
Vodafone Idea has launched 5G services in Delhi NCR, aiming for a nationwide rollout across 17 circles by August 2025. Backed by a ₹55,000 crore investment and strategic partnerships, Vi's stock trading higher 1% following the announcement. This blog covers key rollout details, pricing, tech collaborations, and stock market reaction.
This article covers key highlights from the interview of Tata Motors CFO P.B. Balaji on One Business Channel following the company’s Q4 results. It delves into the challenges faced by the company in global markets, especially in the U.S. and China, updates on JLR performance
This article covers the recent approval by the Indian Cabinet for a new semiconductor plant to be set up in Jewar, Noida. The project is a joint venture between HCL and Foxconn and involves an investment of approximately ₹3,700 crore.
Tata Steel surged over 4% today, driven by strong quarterly results, major cost-cutting plans, a turnaround in its Netherlands operations, and a positive outlook on steel prices. Read on to know what’s fueling investor optimism and what the management expects going forward.
Description:
A detailed breakdown of the Motilal Oswal Midcap Fund's April 2025 portfolio, including top holdings, newly added and reduced stocks, and key insights on rising cash positions and hedging strategy.
This article explores the latest brokerage views on Tata Motors following its Q4 results and global trade developments. It covers contrasting ratings and target price revisions from Jefferies, CLSA, Goldman Sachs, and Macquarie, with a special focus on JLR's performance, tariff impacts, and future outlook.
Tata Motors delivered a strong performance in Q4 and FY25, posting record profits, becoming net debt-free, and maintaining positive free cash flow. Each segment—Jaguar Land Rover, Commercial Vehicles, and Passenger Vehicles—showed resilience, with management highlighting growth in profitability.
This blog post analyzes India’s Consumer Price Index (CPI) and Consumer Food Price Index (CFPI) data for April 2025. It highlights the sharp decline in inflation, with the overall headline inflation dropping to a six-year low of 3.16%.
SRF Limited reported a 25% YoY rise in Q4 net profit to ₹526 crore, doubling from the previous quarter. With strong revenue growth and improved margins, the company outlines a positive FY26 outlook across chemicals, films, and technical textiles segments.
Gold prices have dropped 7.5% from their all-time high of $3,503 amid easing global tensions. Key reasons include reduced geopolitical stress between India-Pakistan, the US-China trade deal signed in Geneva, Trump's 90-day tariff pause and deal with the UK, and a ceasefire agreement in the Russia-Ukraine war
Prime Minister Narendra Modi addressed the nation following the bold and unprecedented Operation Sindoor, where Indian forces launched precision strikes on terror camps deep inside Pakistan.