India’s real estate is set for a structural shift in 2026, with REITs and fractional ownership platforms gaining prominence. Regulatory changes, including SM REITs, are expected to lower entry barriers for retail investors, offering access to income-generating commercial assets with enhanced liquidity and transparency.Read More
Precious metals saw a stellar 2025 run, but 2026 may bring divergence. Gold is expected to remain a stable hedge, while silver’s volatility will be driven by industrial demand and China’s recovery. Investors should track key macro triggers as they recalibrate allocations.Read More
Trent’s Q3 growth of 17% may mark the bottom of its slowdown, but meeting its 25% FY26 guidance looks unlikely, says Jignanshu Gor, Director at Bernstein India. Analysts expect growth to stabilise around 20% amid base effects, margin sustainability and store expansion, even as near-term earnings downgrades and valuation concerns persist.Read More
Gold, silver and copper outlook for 2026: Kotak Securities’ Anindya Banerjee explains key levels, picks to buy, oil risks and portfolio strategy.Read More
On January 6, five NSE-listed stocks with a market capitalisation above Rs 1,000 crore featured on the bullish White Marubozu scanner. This candlestick pattern signals strong intraday buying interest, highlighting firm buyer dominance and improving momentum, which increases the likelihood of a continued upside in select stocks.Read More
Ten millennia after shaping early civilisations, copper has re-emerged as a cornerstone of global growth. Prices have hit record highs above $13,000 a tonne after a sharp rally—up 61% on India’s MCX in 2025 and 42% globally, with further gains in 2026—as investors and industries bet on copper’s central role in the next economic cycle.Read More
Indian markets see sharp stock-specific moves as Trent plunges on growth disappointment and Reliance faces profit booking. Market expert Sudip Bandyopadhyay explains why the high valuations have left no room for error, what’s driving the volatility, and why select pharma stocks like Divi’s may still offer upside despite broader uncertainty.Read More
Global markets reeled after a dramatic U.S. strike on Venezuela led to the arrest of President Nicolas Maduro, sharpening investor focus on political change and oil flows. A deal to export up to $2 billion of Venezuelan crude to the U.S. weighed on oil prices, even as equities surged, reviving debate over whether the rally...Read More
Indian equities commenced Wednesday’s trading session on a subdued note, with both the Sensex and Nifty experiencing declines. Geopolitical tensions and tariff concerns are dampening optimism surrounding the earnings outlook, preventing the indices from reaching new record highs.Read More
Gold and silver prices edged lower on profit booking after recent gains, even as geopolitical tensions continued to support safe-haven demand. Investors now await US payroll data for cues on interest rates and near-term bullion price direction.Read More
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