Despite a challenging 2025 marked by earnings downgrades and FII selling, Indian equities are poised for a turnaround in 2026. Policy support and stabilizing earnings are expected to improve macros, setting the stage for a more constructive market environment. While large caps are anticipated to lead the recovery, mid and small caps also show improving earnings trajectories.Read More
Despite Nifty hitting record highs, Indian portfolios face pressure due to weak market breadth and stock corrections. However, strong macro fundamentals like robust GDP growth and improving earnings visibility position India well for 2026, with key sectors like financials and auto expected to lead.Read More
FIIs have pulled out heavily from Indian equities in 2025, but brokerages see scope for stabilisation and a gradual reversal. While IPO activity and global return differentials have diverted foreign flows, expectations of Fed rate cuts, improving earnings visibility and normalised valuations could support sentiment. Most brokerages recommend a selective, buy-on-dips strategy heading into 2026.Read More
Hindustan Zinc shares: Silver hit fresh lifetime highs above $75 an ounce, up over 140% in 2025, driven by strong industrial demand from solar, EVs and electronics, safe-haven buying amid geopolitical tensions, and tight global supply, with hopes of U.S. rate cuts adding to investor optimism.Read More
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