Indian sovereign bonds face record foreign outflows in December as rupee weakness, fading rate-cut expectations and global reallocations weigh on sentiment, pressuring bond prices and borrowing costs despite prospects of index inclusion boosting future inflows.Read More
As markets enter 2026, stock selection is key. Analysts recommend Mahindra & Mahindra, Marico, and Hindustan Petroleum. These companies show strong balance sheets and earnings visibility. Investors can expect potential gains of up to 20%. The outlook for these stocks is positive, with analysts suggesting buying at current prices.Read More
Indian markets experienced significant shocks, including a depreciating rupee and massive FII sell-offs, despite a robust macro environment. This disconnect, driven by AI trade flows and trade deal delays, led to broader market carnage. However, with valuations normalizing and reforms accelerating, 2026 could see a shift as the rupee stabilizes and FII flows potentially return.Read More
Warren Buffett’s exit as CEO marks the end of a six-decade era at Berkshire Hathaway, where investing in the stock was largely a bet on his leadership. As he hands over control to longtime deputy Greg Abel on December 31, investors are questioning whether Berkshire can continue to generate outsized wealth without the Oracle of...Read More
Despite a volatile year, the Nifty 50 closed 2025 near 26,000, marking the 10th consecutive positive year. Fixed income also showed resilience with falling yields. This strength in Indian markets, driven by economic and business upturns, fuels optimism for 2026, even as investor sentiment lags.Read More
Federal Reserve minutes reveal deep divisions behind December’s rate cut, with policymakers split over inflation risks, labour market cooling and the need for further easing amid limited data visibility.Read More
January has historically been a challenging month for Indian equities, with the Nifty ending in the red eight out of the last ten years. Foreign investors have largely been net sellers, contributing to weak sentiment. However, domestic institutional investors have consistently stepped in as net buyers, providing crucial support and cushioning market declines.Read More
US bond investors face a tougher environment in 2026 after stellar gains in 2025, as hopes of fewer Federal Reserve rate cuts and the prospect of fresh fiscal stimulus cloud return expectations. The bond market’s strong performance this year was driven by falling rates and a resilient US economy, which lifted bond prices and kept...Read More
KPI Green Energy shares surged sharply on strong volumes, with technical indicators signalling sustained bullish momentum amid improving sentiment in the renewable energy space.Read More
Bitcoin and Ethereum are trading at lower levels as 2025 concludes. Analysts anticipate a market recovery by the second quarter of 2026. This shift is expected due to potential interest rate cuts by the US Federal Reserve. Institutional investors may return, boosting crypto prices. The market is currently in a consolidation phase.Read More
Nulla vitae elit libero, a pharetra augue. Nulla vitae elit libero, a pharetra augue. Nulla vitae elit libero, a pharetra augue. Donec sed odio dui. Etiam porta sem malesuada.