2026-04-19Niranjan Ghatule
Global markets surge to record highs as strong US corporate earnings, easing war tensions, stable oil prices, and rising consumer strength fuel investor optimism. Nasdaq posts best week since 1992 while S&P 500 crosses 7000.
View more
2025-06-16Niranjan Ghatule
Morgan Stanley's latest bullish report has triggered a strong rally in select Indian chemical stocks, with PI Industries emerging as the top gainer. The report highlights sustained recovery in the agrochemical sector, improved demand, normalized pricing, and a reset in inventory levels.
View more
2025-06-04Ravi Mehta
Reliance Infrastructure has shocked the markets with its exceptional Q4 FY25 performance, posting a profit of ₹4,387 crore after a previous quarter loss. The stock surged over 46% in one month, reaching a 52-week high of ₹308. Backed by a 681% jump in EBITDA
View more
2025-05-16Niranjan Ghatule
India's defence stocks are on fire! After Operation Sindoor and news of a possible ₹500 crore additional defence allocation, the Nifty Defence Index is up nearly 50% in just 3 months. Major defence companies like Paras Defence, Garden Reach Shipbuilders, and Data Patterns have delivered over 80-100% returns. Learn what's driving this rally and what it means for investors.
View more
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.
View more
2025-03-25Ravi Mehta
This article analyzes the latest F&O data as of March 24, 2025, highlighting key trends in market positioning by Foreign Institutional Investors (FIIs), retail traders, and High Net-worth Individuals (HNIs). The data reveals that FII short positions in index futures have dropped to a six-month low, while retail and HNI long positions are also at a low.
View more
2025-03-21Niranjan Ghatule
Foreign Institutional Investors (FIIs) have aggressively covered their short positions in index futures, leading to a 47% drop in net shorts this week. The latest F&O data as of March 21, 2025, shows that FIIs added 3.3K long positions and covered 11K shorts, bringing their Long:Short ratio to 32%:68%.
View more
Your experience on this site will be improved by allowing cookies
Cookie Policy