2025-05-30Niranjan Ghatule
In this article, we cover a major update from the Indian Finance Ministry regarding gold loans. The Ministry has urged the Reserve Bank of India (RBI) to ensure that the new draft guidelines on gold loans do not adversely impact small borrowers.
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2025-05-23Niranjan Ghatule
A detailed analysis of how the recent fire at Jindal Polyfilms’ Nashik facility could create a market opportunity for competitors like SRF Ltd. The article explores the potential production losses, impact on supply, and how SRF’s manufacturing capabilities might position it to benefit from the disruption.
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2025-05-19Niranjan Ghatule
Indian IT stocks fell after Moody's downgraded the US credit rating, raising concerns over rising debt and fiscal instability. With over 60% of revenue coming from the US, companies like TCS, Infosys, and Wipro saw declines. Here's how the downgrade impacted key Indian IT stocks.
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2025-05-18Niranjan Ghatule
In Q4 FY25, Foreign Institutional Investors (FIIs) significantly increased their stakes in a select group of Indian companies, signaling strong confidence in these businesses. From financial services to pharma, this blog uncovers the top 16 stocks where FIIs raised their holdings by over 2%. Explore the list to see where the smart money is flowing — and what it could mean for your portfolio.
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2025-05-16Niranjan Ghatule
Cochin Shipyard is emerging as a key player in India's defense manufacturing drive amid rising geopolitical tensions. With a strong order book, growing revenues, global collaborations, and a sharp surge in its stock price, the PSU is well-positioned to benefit from the country’s focus on self-reliance in defense.
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2025-04-21Niranjan Ghatule
US markets resumed selling on First day of Week;Dow Jones industrial Average down More than 1,000 points while US Tech Index down more than 3% Here's What's happening in US markets
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2025-04-20
Stay updated on this week’s key market events — including S&P Global PMI data, Fed speeches, new and existing home sales, durable goods orders, and earnings reports from 20% of S&P 500 companies
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2025-04-18
Foreign investors are rapidly pulling out of U.S. equity funds, with $6.5 billion withdrawn in just one week — the second-largest outflow on record. As recession fears rise, Donald Trump's 90-day tariff pause, U.S.-China trade war tensions, and gold hitting all-time highs are driving global investors to safer assets. Here’s why foreign holdings are shifting fast.
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2025-04-17Niranjan Ghatule
Global investors are cutting U.S. equity exposure at a record pace, according to Bank of America’s April 2025 Fund Manager Survey. Allocation to U.S. stocks has dropped 53 points in two months — the largest decline on record — as 82% of investors expect the global economy to weaken. Explore the full market sentiment shift and chart insights.
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2025-04-14Ravi Mehta
In a significant development for global trade, U.S. President Donald Trump has confirmed that the European Union (EU) has expressed interest in negotiating a new trade deal. Trump also highlighted the resilience of the U.S. stock market, stating that it remains "very strong" even as investors and industries adjust to ongoing tariffs.
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