Ahead of Holi 2026, several Indian stocks have emerged as multibaggers since last Holi, delivering exceptional returns despite market volatility. While strong performers span sectors from infrastructure to manufacturing, experts caution that geopolitical tensions and uncertain earnings could keep markets volatile, urging investors to remain selective and patient.Read More
Amidst the backdrop of international political unrest, Indian markets showcase an impressive ability to weather the storm. Recent analyses highlight that it is the long-term macroeconomic trends, rather than fleeting headlines, that shape market outcomes. With strong economic buffers and substantial domestic liquidity, India stands firm against external shocks.Read More
Oil prices climbed above $70 as escalating US-Iran tensions raised fears of supply disruptions through the Strait of Hormuz. Analysts warn that while momentum remains strong, resistance near $77 could trigger consolidation. Markets are weighing inflation risks and the possibility of further geopolitical escalation driving crude higher.Read More
Renewed Middle East tensions following the Israel-Iran conflict have revived safe-haven demand for gold and silver. After a sharp correction earlier this year, both metals are regaining momentum, with analysts flagging potential breakouts above key resistance levels. Some strategists even see gold testing $10,000 over the medium term.Read More
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