India’s private credit market is booming, attracting global investors. Structural reforms and strong developer demand are key drivers. Alternative Investment Funds are playing a crucial role, acting as new lenders for real estate projects. India is becoming a major hub for real estate credit capital in the Asia-Pacific region.Read More
Indian markets are at record highs. Investors are reviewing asset allocation for the coming year. Naveen Kulkarni of Axis Securities PMS suggests a ₹10-lakh portfolio for 30-40 year olds. Equities should exceed 50%. Debt and gold will form the rest. FIIs may return in 2026. BFSI, power, and consumption sectors are expected to lead.Read More
UTI AMC’s V. Srivatsa says India’s aviation sector may see a temporary reset but no structural shift despite one airline holding 65% market share. He expects a pickup in earnings driven by consumption, banking strength and government reforms, with low double-digit growth likely in FY27. Top sector preferences include IT, oil & gas and healthcare, while EMS remains a cautious bet.Read More
Oil prices are holding steady. Concerns about supply exceeding demand are limiting price increases. Investors are watching Ukraine peace talks closely. A peace deal could lift sanctions on Russian oil. U.S. oil production is expected to reach a new record this year. However, output is forecast to slightly decrease in 2026.Read More
As of December 9, five stocks in the NSE F&O segment witnessed a meaningful rise in futures open interest, signalling fresh positioning activity. JSW Energy, Hindustan Unilever, BSE, Zydus Lifesciences, and Tube Investments of India reported an over 5% increase in OI, reflecting growing participation in the derivatives market.Read More
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