As Diwali 2025 approaches, gold and silver continue to shine, soaring over 47% and 52% this year, respectively. With gold breaching ₹1,18,000 per 10 grams and silver trading above ₹1,44,000, experts expect the rally to extend, driven by festive demand, dovish Fed policy, and geopolitical tensions. Analysts see gold testing ₹1,22,000 and silver ₹1,50,000 by...Read More
Ace investor Mukul Agrawal, with a portfolio worth around Rs 7,700 crore, continues to back a mix of established businesses and emerging names.Read More
Indian markets show volatility in 2025. Chirag Muni discusses investment strategy. Equities provide returns over five years. Gold and silver also perform. India’s GDP growth is 6.5 percent. Inflation is 2.1 percent. Interest rates are cut. Investors should consider mutual funds. Allocations to largecap, midcap, and smallcap are suggested. This approach targets growth.Read More
HDFC Bank announced robust Q2FY26 business updates, with average deposits surging 15.1% year-on-year to Rs 27.15 lakh crore. Average advances also grew by 9% to Rs 27.95 lakh crore. The bank reported significant increases in both CASA and time deposits, reflecting strong financial performance for the quarter.Read More
US government shutdown occurs. Stocks reach new record highs. Investors expect future rate cuts. The dollar may weaken against major currencies. Pharmaceutical shares see a boost from new agreements. Oil prices remain low due to global oversupply. New Zealand’s central bank prepares for a rate reduction next week. Economic visibility is currently limited.Read More
The U.S. government shutdown will capture investor focus next week. Markets hold near record highs, preparing for the earnings season. Few expect the Washington situation to derail the current rally. A data drought could impact Federal Reserve policy decisions. The fourth quarter is historically strong for stocks. Investors anticipate results from Levi Strauss and Delta...Read More
Bank of America Global Research has advanced its forecast for the Federal Reserve’s next interest rate cut to October from December, citing a softening labor market. While BofA expects only one cut this year, other major firms anticipate two.Read More
Family offices are investment firms set up by wealthy families to manage their assets. Over the past two decades, they have become a significant force in India’s markets—investing in startups, private equity, and initial public offerings.Read More
Indian markets remain range-bound in 2025, with foreign investors pulling out ₹2 lakh crore, though domestic buying has cushioned the impact. A sustained bull run hinges on FII return, which requires stronger corporate earnings and a positive India-US trade deal.Read More
India’s primary market prepares for a week of public issues. Five IPOs worth over Rs 28,500 crore will launch. Tata Capital and LG Electronics India are major offerings. Rubicon Research and Anantam Highways Trust InvIT also open. Mittal Sections will list on the SME platform. This period offers investment opportunities across finance, consumer durables, pharma,...Read More
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