2025-06-07Niranjan Ghatule
Explore the escalating feud between Elon Musk and Donald Trump, its impact on Tesla's stock, global markets, and the electric vehicle industry. Understand the political and economic consequences of their clash.
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2025-06-02Niranjan Ghatule
JPMorgan CEO Issues a Stark Warning: JPMorgan CEO Jamie Dimon has issued a serious warning about a potential crisis in the U.S. bond market. With rising national debt, high fiscal deficits, and uncertain economic policies, the threat to global financial stability is growing. This article breaks down Dimon's concerns and their possible impact on the U.S. economy and global markets.
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2025-06-01Niranjan Ghatule
This week (June 2–6, 2025) is packed with crucial global and domestic economic indicators, policy decisions, and corporate actions that could influence markets worldwide. From RBI’s MPC meeting in India to the U.S. nonfarm payrolls and ECB rate decisions
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2025-05-26Niranjan Ghatule
An in-depth analysis of why Japan and Germany, despite having drastically different interest rates and debt profiles, are offering nearly identical 30-year government bond yields. This article explores what this unusual convergence might signal about the future of global bond markets.
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2025-05-25Ravi Mehta
A detailed preview of the key market cues for the week of May 26 to May 30, including macroeconomic data, earnings reports, corporate actions, and major global events that could influence market sentiment.
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2025-05-12Niranjan Ghatule
Nifty IT index surged over 7% intraday as the US and China signed a major trade deal in Geneva, cutting tariffs significantly and easing recession fears. With over 60% of Indian IT revenue coming from the US, the deal brought a strong rally across IT stocks. Major gainers included Infosys, TCS, HCLTech, and Coforge, while Nasdaq futures also rose 4% on positive global sentiment.
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2025-04-07Niranjan Ghatule
Global stock markets crashed today as fears of a global recession escalated following U.S. President Donald Trump's tariff buzz. Major indices across Asia, Europe, and beyond witnessed sharp declines, with Hong Kong plunging over 13%. Investor sentiment remains fragile amid concerns of trade wars and economic slowdown.
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2025-04-02Niranjan Ghatule
The S&P 500 had a rough start to 2025, underperforming global markets by the largest margin in over a decade. With a -4.6% decline in Q1, the index trailed international stocks by 9.6 percentage points—the worst quarterly relative performance since 2009. This sharp reversal from Q4 2024, when the S&P 500 outperformed global stocks by 10 percentage points
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