Ametra PMS’s Co-founder and CIO, Karan Aggarwal, details how a tactical allocation strategy, heavily weighted towards debt and gold, cushioned portfolios during FY26’s volatility. This approach, combining asset diversification and factor investing, aimed to protect downside risk while delivering consistent outcomes across market cycles.Read More
Rakesh Vyas of Quest Investment Managers sees market volatility as a buying chance. He favors smallcap stocks benefiting from government stimulus. Consumption is his top bet, with apparel, food delivery, hotels, and auto sectors poised for growth. Vyas is underweight on IT but selectively invests in product companies. Power remains a long-term conviction.Read More
Gold and silver prices declined on MCX amid uncertainty around U.S.-Iran tensions and interest rate outlook. Rising crude oil prices and a stronger dollar are driving volatility. Analysts suggest buying on dips with defined support levels, while investors closely watch global cues, Fed policy signals, and geopolitical developments.Read More
Indian stock markets, Sensex and Nifty, saw a dip on Tuesday. This followed a strong performance the previous day. Investor sentiment was affected by concerns over the Iran-US conflict. Oil prices experienced a surge. Broader market indices, Nifty Smallcap 100 and Nifty Midcap 100, showed gains. India VIX, a volatility measure, declined.Read More
UltraTech Cement reported a strong March quarter with a 20% profit jump. Despite a share dip, analysts are positive. Several brokerages have maintained their Buy ratings. They see potential for growth driven by capacity expansion and operational gains. The company’s financial stability and future growth commitments remain strong.Read More
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