Cholamandalam Investment and Finance Company shares are set to be in focus after the company rejected allegations of governance lapses, reaffirmed its guidance and highlighted strong liquidity and capital buffers. Brokerages including Motilal Oswal, Morgan Stanley and Jefferies reiterated their positive stance, citing improving disbursements and resilient fundamentals.Read More
Indian investors are increasingly seeking global diversification despite regulatory hurdles like LRS limits and higher TCS. While interest in AI, tech, and defense themes grows, domestic fund capacity caps and a weakening rupee are shaping overseas investment strategies for 2026.Read More
Indian equities enter 2026 with improved valuations and stronger fundamentals after a volatile period. Experts anticipate sustained economic momentum driven by fiscal and monetary policies, with manufacturing and digitization poised for leadership. Investors are advised to diversify across market caps for long-term wealth creation.Read More
The BSE Sensex has achieved remarkable wealth creation over four decades. It has grown from a modest start to a lifetime high, transforming into a democratized wealth engine for millions. This journey reflects India’s economic transformation and its rise as a global powerhouse. The Sensex has become a true barometer of the Indian economy.Read More
Indian stocks edged higher on Wednesday, with the Sensex and Nifty steadying after a flat close. Stronger U.S. economic growth data boosted risk appetite, though foreign fund outflows and thin year-end trading volumes tempered the optimism.Read More
Gold and silver extended their record rally on Wednesday, with MCX silver hitting a fresh peak of ₹2,23,359/kg and gold opening higher at ₹1,38,247 per 10 grams. Prices remain supported by expectations of US rate cuts, geopolitical risks, and strong safe-haven demand, following gains in global and domestic markets.Read More
Indian states are set to borrow a record amount. This surge in borrowing will impact bond markets. Interest rates are expected to remain high. Investors are cautious about committing funds. This situation could affect private borrowers and companies. The Reserve Bank of India’s rate cuts may not fully transmit to the economy due to this...Read More
Despite a challenging market in 2025 that saw many portfolios decline, investor Mukul Agrawal’s equity holdings featured five multibagger stocks. While his overall portfolio saw a slight dip, these select companies delivered significant returns, outperforming the broader market slump in small-cap stocks.Read More
Oil prices saw modest gains, buoyed by strong U.S. economic growth and potential supply disruptions from Venezuela and Russia. Robust consumer spending fueled a faster-than-expected GDP increase in the third quarter. Concerns over Venezuelan exports and ongoing attacks on Russian energy infrastructure are supporting market sentiment, overshadowing inventory data.Read More
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