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The Indian equity market ended its fifth straight week in the red, with the Nifty50 falling over 1%. July 29 marked a crucial ...
Equity markets this week will turn their focus on the RBI 's interest rate decision, Q1 earnings from several blue-chip firms ...
Analysts predict market focus on RBI's interest rate decision, Q1 earnings (Bharti Airtel, SBI, etc.), and US tariffs. Global ...
Gift Nifty, an early indicator for the Nifty 50, indicated a negative start as it opened 114 points lower at 24,722.50, ...
Given the mixed cues and technical fragility, a break above resistance could spark momentum, while a breach of key supports ...
Sensex, Nifty extended decline on concerns over US tariff measures, leading to rise in India VIX amid increased uncertainty ...
Analysts attributed the decline to a mix of factors, including the newly imposed 25% US tariff on Indian exports, persistent ...
Factor investing in India: 120 mutual fund smart-beta schemes managing ₹49,000 crore, with single and multi-factor approaches ...
The Indian stock market declined following Trump's tariffs on July 31, 2025, with key indices showing significant drops ...
Bond yield spreads may offer clues about future stock market returns. A positive spread between 10-year and 3-month Indian government bond yields signals investor optimism on growth and inflation.
Indian stock markets faced a fifth consecutive week of losses, driven by persistent FII selling, concerns over India-US trade ...
Major pharma exporters saw their shares plunge, dragging the Nifty Pharma index down over 3%, underscoring fears over their ...