Gold, silver and equities tumbled together in a rare cross-asset slide, with leveraged unwinding, a stronger dollar and expectations around Kevin Warsh’s Fed outlook triggering a sharp selloff. Analysts warn against chasing rallies, suggesting disciplined asset allocation as precious metals consolidate and large-cap equities offer relatively steadier opportunities.Read More
India’s Union Budget prioritizes continuity amid global uncertainty, with fiscal discipline largely achieved. While borrowing targets raise concerns, the focus shifts to proactive liquidity management to ensure fiscal discipline translates into lower borrowing costs and supports economic growth.Read More
Bitcoin slid to a 10 month low in Asian trading as market sentiment weakened amid broader asset volatility. The cryptocurrency has logged four consecutive monthly declines, its longest losing streak since 2018, with investors rattled by global market turmoil and shifting US monetary policy expectations.Read More
India’s budget received cautious optimism, but reversing foreign investor outflows remains uncertain. While capital expenditure plans align with expectations, higher taxation on derivatives and a significant premium over other emerging markets deter FIIs. Analysts suggest sustained earnings growth and valuation corrections are needed to attract renewed foreign interest.Read More
Temasek Holdings and Life Insurance Corporation of India are poised to be major sellers in the National Stock Exchange of India’s potential $2.5 billion IPO. State Bank of India and SBI Capital Markets are also expected to participate in the offering, which will consist of existing shareholders selling 4% to 4.5% of the company’s equity.Read More
Indian IT firms are likely to favor share buybacks over dividends following recent tax reforms. Market expert Sushovan Nayak believes the new rules make buybacks more tax-efficient for both companies and many shareholders. This shift is expected to encourage cash-rich IT giants like Wipro, LTIM, and TCS to continue returning capital to investors through buybacks...Read More
Latent View Analytics shares jumped nearly 8% after the company posted a 19% year-on-year rise in Q3FY26 profit and strong revenue growth. Improved margins, new client additions and rising institutional participation supported sentiment, while management reiterated focus on scaling AI and Agentic AI capabilities.Read More
Prashant Jain said Union Budget 2026–27 ticks all the right boxes and offers a reasonable investment opportunity over the next three to four months despite market volatility. He believes large-cap stocks are fairly valued, long-term returns should track nominal GDP growth, and policy stability and fiscal discipline support sustained economic expansion.Read More
Indian bonds experienced a sharp decline following the federal budget, with the 10-year benchmark yield reaching a near-year high. This downturn was driven by record government borrowing plans, dampening investor sentiment. Elevated yields will increase borrowing costs across the economy and complicate the central bank’s efforts to support growth.Read More
Trump announced Kevin M. Warsh as his Fed chair pick, influenced by Treasury vetting led by Scott Bessent. Warsh’s dovish stance contrasts with past hawkish positions, raising questions about his independence and alignment with Trump’s rate-cut preferences. Markets watch his approach to interest rates and Fed-Treasury coordination amid political scrutiny.Read More
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