Foreign institutional investors (FIIs) continue selling Indian equities due to US policy shifts, global interest rates, and emerging market underperformance. Nilesh Shah attributes this to US tax cuts and protectionism, while Karthik Kumar links it to global yields and currency trends. FIIs may return when global conditions stabilize.Read More
Gautam Shah of Goldilocks Premium Research highlights opportunities in financial, metal, power, and infra sectors, recommending top companies like HDFC, ICICI, SBI, and NBFCs. He remains optimistic about the Indian market’s structural story despite short-term corrections, emphasizing that sectors like real estate and power hold promising potential for the upcoming months.Read More
The US stock market faces rising risks as overvaluation, slowing earnings, inflation, and trade tensions create uncertainty. The Magnificent Seven’s fading influence, tariff escalations, labor market strains, and recession fears add to volatility. Whether this results in a correction or downturn depends on corporate earnings resilience and policy responses.Read More
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