Retail investors have stayed committed to Indian markets through multiple crises, but their confidence must be continually reinforced as savings grow. Taxation, especially STT, CTT, and capital gains, adds friction and makes India less competitive globally. Predictable, rational tax policy and long-term support for mutual funds are crucial to sustain domestic capital formation. Higher capex,...Read More
The iSIF Hybrid Long–Short Fund blends equity and debt with limited short exposure using derivatives and special situations. It aims for smoother, risk-adjusted returns across cycles by adjusting net exposure based on valuations and market conditions. Derivatives are used for both hedging and income generation, while limited liquidity makes it suitable for investors seeking lower...Read More
Indian stock markets will be closed on Monday, January 26, for Republic Day, affecting trading across NSE, BSE and MCX. The closure marks the second market holiday of 2026. Trading will resume on Tuesday, January 27. For the rest of the year, exchanges will remain shut for 14 sessions, including Holi, Ram Navami, Diwali, Christmas...Read More
As the Nifty slips below its 200-day moving average amid sustained FII outflows and a weakening rupee, market sentiment has turned sharply cautious ahead of the Budget. Rupak De, Senior Technical Analyst at LKP Securities, shares his January expiry strategy, key levels to track, and stock ideas in a volatile pre-Budget environment.Read More
As Budget 2026 approaches, WhiteOak CEO Aashish Somaiyaa says the focus should shift from headline reforms to fixing structural market frictions. He argues that the current securities transaction tax and dividend taxation framework amounts to double taxation and needs review. Somaiyaa also highlights Atmanirbhar Bharat as a continuity-led strategy, explains the cyclical nature of FII...Read More
Ace investor Mukul Mahavir Agrawal reshuffled his Rs 6,500-crore equity portfolio in Q3, adding new names and adjusting stakes across several holdings. He entered stocks such as Hindustan Construction and Alcargo Logistics, increased exposure in Vasa Denticity and Vikran Engineering, and trimmed or exited positions in firms like Monolithisch, Pearl Global and Stanley Lifestyles. The...Read More
Stock market is gearing up for an eventful week ahead where key triggers such as quarterly earnings from corporates, the US Fed interest rate decision and the upcoming Union Budget for 2026-27 would grab the limelight, analysts said.Read More
The combined market valuation of nine of the top-10 most valued firms slumped by Rs 2.51 lakh crore last week, with Reliance Industries taking the biggest hit, in line with a weak trend in equities.Read More
Axis Bank is expected to post a mixed Q3 performance, with healthy loan and deposit growth supporting balance sheet expansion, but pressure on margins weighing on profitability. Brokerages see NII rising about 4% year-on-year, while PAT is likely to decline around 8%. Loan growth is seen rebounding to about 14% YoY, with deposits growing faster...Read More
The US Federal Reserve is widely expected to keep interest rates unchanged when it meets in the coming week, holding firm despite President Donald Trump’s pressure to slash levels as it guards against threats to its independence. – External pressure – The Fed meets eight times a year to consider interest rate levels, and Michael...Read More
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