Indian government bonds inched up on Tuesday after the market absorbed a large state debt supply, though gains were capped by a liquidity crunch and approaching quarter-end that curbed risk appetite.Read More
Despite record FII selling and a weak 2025 for IT stocks, Vikas Khemani believes fears around AI-led disruption are overstated. He argues that past tech transitions only expanded India’s IT opportunity and expects 2026 to be better as rates ease, flows improve, and selective IT stocks show long-term strength.Read More
Registration of residential properties declined 5 per cent to 5.45 lakh units till December 25 this year across nine cities, while value rose 11 per cent to Rs 4.46 crore, according to Square Yards.Read More
Commodity volatility in gold and silver is driven by profit booking, margin hikes and thin holiday trading, says Ajay Kedia of Kedia Commodities. While near-term corrections are likely after 2025’s sharp rally, upside remains over time. Crude oil may stay range-bound amid oversupply, while base metals like copper are poised for a stronger 2026 on improving demand.Read More
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