Nine smallcap stocks have delivered over 20% gains in each of the last two quarters, with six-month returns ranging between 45% and 95%. Despite volatile markets, these stocks have emerged as strong outperformers, highlighting selective momentum in the broader smallcap space.Read More
Indian markets face geopolitical and inflationary headwinds, with a prolonged economic adjustment expected until FY28. Domestic investors find opportunities in corrected valuations, focusing on resilient stocks and sectors like commodities, defence, and healthcare. Selectivity is key, particularly within financials, as the market navigates short-term turbulence.Read More
India’s central bank has deployed crisis-era measures to stabilize the rupee, which hit an all-time low due to soaring oil prices and massive foreign investor outflows. The Reserve Bank of India is curbing speculative arbitrage trades that amplified currency pressure. These actions aim to reduce dollar demand and support the rupee, though they may increase hedging costs for overseas investors.Read More
South Korean shares plummeted over 4% on Thursday, with the KOSPI closing down 4.47% at 5,234.05. This decline was triggered by fading hopes for a swift end to the Iran conflict following U.S. President Trump’s vow to continue military strikes. Concerns over the Strait of Hormuz and a supplementary budget to address energy security threats also weighed on the market.Read More
Foreign investor caution impacted Indian real estate in early 2026. Investments dropped significantly. Domestic investors showed resilience, driving most of the inflows. Global economic uncertainties are expected to keep foreign players watchful. India’s strong fundamentals and domestic demand are anticipated to maintain its appeal in the wider APAC region.Read More
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