Foreign investors are not avoiding India due to AI exposure or tax issues, according to investor Shankar Sharma. Data shows markets with little AI have outperformed. India’s own past performance contradicts the AI dependency narrative. FII flows and taxation show a weak link to market direction. Global markets perform well regardless of AI.Read More
Indian equities surged in April 2026, led by strong gains in mid, small, and microcaps despite persistent macro risks, foreign outflows, and currency weakness. Market performance diverged from fundamentals, which remained stable, suggesting price-driven momentum rather than earnings-led improvement across segments.Read More
BNP Paribas analyst Kumar Rakesh cautions that weak FY27 guidance, AI-led disruption, and stalled client spending challenge the IT sector’s “value” narrative. While buybacks and dividends provide support, earnings risks remain elevated, making selective stock picking crucial for investors.Read More
Brokerages remain optimistic on select largecap stocks despite rising geopolitical risks and inflation concerns. Stocks across banking, telecom, auto and infrastructure sectors offer upside potential of up to 35%, supported by improving fundamentals, earnings visibility and valuation comfort, making them attractive picks for investors navigating volatile market conditions.Read More
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