Despite geopolitical shocks, Abakkus Mutual Fund’s Sanjay Doshi remains bullish on India’s long-term growth story, viewing market consolidation as an opportunity. He identifies manufacturing, financials, and premium consumption, alongside new-age themes like EVs and defence, as key drivers for India’s next growth phase.Read More
Multi-asset allocation funds are gaining prominence in Indian mutual fund portfolios, attracting significant inflows and growing assets. These funds offer a diversified approach by investing in equity, debt, and commodities, providing resilience across market cycles. Investors are increasingly recognizing their value as a strategic core holding for long-term wealth creation.Read More
Investors are flocking to US dividend stocks this year, seeking stability amid global uncertainties and interest rate worries. These income-generating equities are attracting billions, offering a middle ground between stocks and bonds. Higher payouts from energy companies, boosted by geopolitical tensions, further fuel this trend, making dividend funds a popular choice for resilient returns.Read More
Private equity investments in India’s real estate sector rebounded sharply in 2025, rising 59% to $6.7 billion, led by office, data centres and residential assets. Strong macro fundamentals, easing rates and foreign investor dominance supported inflows, while land investments signal a robust pipeline of future institutional-grade developments.Read More
Gold prices saw a slight uptick on Tuesday, buoyed by a weaker dollar. However, the precious metal is on track for its worst monthly performance in over 17 years. Soaring energy prices have dampened expectations for a U.S. interest rate cut this year, impacting gold’s trajectory.Read More
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