Sobha recorded Rs 2,039 crore in sales in Q4FY26, up 11% YoY, with 1.34 million sq ft of new sales. Bangalore contributed 51% and NCR Rs 610 crore. For FY26, the company achieved record annual sales of Rs 8,136 crore, with 5.54 million sq ft at Rs 14,675/sq ft. Shares ended at Rs 1,167.90, down...Read More
Warren Buffett’s iconic advice — “Be fearful when others are greedy and greedy when others are fearful” — underscores the importance of contrarian thinking and emotional discipline in investing. By understanding market psychology, valuing assets during fear-driven sell-offs, and avoiding herd mentality, investors can identify opportunities and manage risks. The principle remains highly relevant in...Read More
HDFC Securities expects a muted Q4 for Indian IT stocks, with tier-1 growth at -1.1 to +0.9% QoQ CC. It recommends seven stocks, including Infosys, HCL, LTIMindtree, and Mastek, with potential gains from 12% to 57%. Valuations are attractive post-correction, but growth depends on execution in outcome-driven deals.Read More
Suryoday Small Finance Bank’s Q4FY26 gross advances jumped 29% YoY to Rs 13,201 crore, while deposits surged 32% to Rs 13,958 crore. Retail deposits and CASA showed strong growth, and disbursements rose 46% YoY. The stock ended 1.7% higher on NSE, though it has fallen 19% over six months amid broader market weakness.Read More
AI in investing is often built for stable markets, limiting its usefulness during volatility. This piece argues that AI should enhance decision-making rather than replace human judgment. With rising retail participation in India, adaptive, context-driven AI tools focused on risk awareness and scenario analysis can significantly improve investment outcomes in uncertain market conditions.Read More
Nifty has ended a rare four-month losing streak, a pattern that historically precedes strong recoveries. DSP data shows average one-year returns of 40.7% after similar phases. With fund managers signalling capitulation and increasing equity exposure, market indicators suggest the recent correction may have marked a bottom for Indian equities.Read More
Global markets are shifting from a low-volatility regime due to geopolitical tensions and persistent inflation. As Q2 begins, investors face uncertainty regarding valuation sustainability in a higher-rate environment. India shows relative strength but faces valuation concerns, emphasizing the need for earnings delivery and disciplined investing over market timing.Read More
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