Day

April 20, 2026
Lenskart shares fell amid social media backlash over an alleged dress code restricting religious symbols. The controversy persisted despite clarification from CEO Peyush Bansal, with the policy drawing criticism and boycott calls.
Read More
Markets are experiencing volatility due to global events. Experts advise investors to buy in small, staggered amounts. Institutional investors are gradually increasing positions. The upcoming earnings season will be crucial for determining the market’s direction. Investors should focus on corporate guidance and sector-specific trends for future investment decisions.
Read More
Groww Q4 Results: Revenue from operations, meanwhile, rose 87% YoY to Rs 1,505 crore.
Read More
Global equity markets, led by the US, have recovered strongly, reaching new highs despite ongoing geopolitical tensions. However, volatile oil prices, influenced by conflicting US-Iran relations, are a major concern, impacting the global economy and investor sentiment. This uncertainty makes market navigation difficult, with potential effects on food prices.
Read More
Suzlon Energy has seen a sharp rebound with improving technical indicators, but analysts caution against aggressive buying as the stock enters overbought territory. While structural tailwinds from rising power demand and wind energy prospects support the long-term outlook, near-term consolidation or correction is likely, making a buy-on-dips strategy more prudent for investors.
Read More
ICICI Bank surprised with a significant drop in provisioning, signaling improved asset quality and a strong recovery pipeline. In contrast, HDFC Bank adopted a cautious growth strategy, prioritizing profitability and asset quality amidst macroeconomic headwinds. HDFC Bank also aims to boost its deposit market share, expecting it to outpace credit growth.
Read More
Shares of Trent Limited rose 4% ahead of its April 22 board meeting to consider a bonus issue, dividend and fundraising plans. Investors remain cautious as analysts flag margin pressure and store overexpansion concerns, even as revenue growth stays healthy and the retailer continues expanding its store network.
Read More
India’s stock markets are experiencing a sector rotation, with consumption stocks like tobacco and alcobev surging after years of quiet. Investors who missed the recent Nifty rally are advised to focus on three key themes: financialization of savings, capital expenditure and infrastructure, and consumption, particularly the automobile sector, for sustained growth over the next two...
Read More
A US–Iran ceasefire and strong early earnings have reignited global investor appetite for S&P 500 and broader U.S. equities. As geopolitical tensions ease, Reuters data shows billions flowing back into American stocks, driven by economic resilience, robust corporate results, and renewed confidence in the dominance of TINA-style investing.
Read More
HCL Technologies is poised for a mixed March quarter, anticipating steady year-on-year growth but a sequential dip due to software seasonality and rising costs. While revenue is projected to climb annually, a slight quarterly decline is expected. Margins may face pressure from wage hikes and restructuring. Investors await insights on future guidance and AI’s impact.
Read More
1 3 4 5 6 7 10

Text Widget

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.

Our Cases