India’s top IT firms reported mixed earnings, grappling with near-term pressures and AI-driven structural shifts, leading to subdued growth forecasts. While IT valuations have become more reasonable, market expert Sandip Sabharwal advises caution due to these structural issues. Financials and metals, however, show resilience and potential upside.Read More
India’s stock markets are reacting to West Asia news. Sanjeev Prasad of Kotak Institutional Equities warns of significant economic impacts. Two scenarios are presented: a ‘bad’ outcome with lingering pain and an ‘ugly’ outcome if conflict persists. Nifty 50 earnings may show resilience due to insulated sectors. However, prolonged conflict will impact economically sensitive companies.Read More
Himadri Speciality Chemical shares surged to a 52-week high after strong Q4FY26 results and the launch of its first anode material facility in West Bengal. The rally added about Rs 3,500 crore to its market value, taking total market capitalisation to Rs 30,624 crore.Read More
Anlon Healthcare shares appeared to crash nearly 90% in a single session, but the fall was due to adjustments following a 1:1 bonus issue and 1:5 stock split. The move does not impact market capitalisation but improves liquidity, highlighting the importance of understanding corporate actions behind price movements.Read More
Global markets are navigating geopolitical tensions with surprising resilience, particularly in the US. Despite initial fears, financial assets show a weakening correlation with oil prices, while US equities remain robust. The dollar’s strength is linked more to equity performance than oil, suggesting a shift in market focus towards corporate earnings and AI.Read More
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