Insights, guides, and updates on AI trading in Indian markets
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Indian markets witnessed a strong rally as Sensex jumped 1,900 points and Nifty gained 2.5%. We dissect three key factors driving this bullish momentum.
Indian markets witnessed a sharp rally as Sensex surged 1,500 points. Nifty continues to trade below 22,800. Trent and DMart stocks lead the charge with gains of 6% and 5%, respectively.
Indian equity markets rallied today as Sensex surged and Nifty stayed over 400 points higher, despite giving up some intraday gains. Investors remain optimistic amid sectoral strength.
Indian markets rallied with Sensex jumping 1,400 points and Nifty crossing 22,700. Optimism arises from geopolitical easing and strong economic indicators.
Banking stocks like SBI and ICICI surged up to 4% following a March slump, lifting Nifty Bank nearly 3%. Is this the start of a sustained recovery?
India's April-March financial year aligns with agriculture cycles and budgetary needs, shaping market trends. Learn its origins and trading impact.
Tipco Engineering made a subdued debut on the BSE SME platform, listing at ₹89.25 per share. Here's a detailed analysis of the IPO performance and what it signals for SME investors.
Geopolitical tensions and market optimism are creating a tug-of-war for global investors. Emerging markets feel the heat, while equities rise on hopes of de-escalation.
The CBDT has clarified that gains from investments acquired before April 1, 2017, are exempt from taxation. This decision provides relief to long-term investors and could influence market dynamics.
Greece's reclassification to MSCI Developed Markets in 2027 marks a major recovery milestone post its 2009 debt crisis. What does this mean for global and Indian investors?
From higher STT on derivatives to revised taxation on buybacks, April 1 ushers in significant regulatory and tax changes for investors. Here's what to expect.
Market expert Dipan Mehta advises investors to hold cash and stay cautious amid geopolitical tensions and high oil prices. Learn why patience might be key right now.
Gold prices surged past Rs 1.51 lakh/10 grams on a weaker dollar, while silver dipped 1% as de-escalation hopes in the Iran-US conflict gained momentum.
Capital market stocks rallied up to 8% after the RBI deferred new exposure norms, providing relief to brokers and investors alike. Here's what it means for traders.
The Indian government extends RoDTEP scheme till September 30, aiming to support exporters amid global trade disruptions. Here's what this means for the economy.
Powerica's ₹1,000 crore IPO has attracted strong anchor investor interest. Will global factors and a robust GMP drive listing gains? Here's a deeper analysis.
Quarterly earnings growth for Indian firms is expected to hit a five-quarter low. Discover what’s driving this trend and the implications for traders navigating the evolving market landscape.
A steep market selloff erases Rs 10 lakh crore in investor wealth as Sensex plunges 1,650 points and the rupee crosses 95 for the first time. Here’s what drove the crash and its implications.
Indian markets are buzzing as Sensex climbs and Nifty eyes 22,900. GRSE and Cochin Shipyard shine with double-digit gains, drawing attention from traders.
India Inc's Q2 revenue growth hit 6% according to Crisil, but IT and steel sectors face hurdles, impacting overall momentum. What does this mean for traders?
India Inc's Q2 earnings may disappoint as weak demand and muted consumption trends weigh on corporate performance. Analysts brace for subdued growth across sectors.
India's corporate earnings growth remains sluggish, with banks and IT firms leading the downturn. Traders should brace for volatility as companies navigate economic headwinds.
Easebuzz, a profitable payments firm, is gearing up for a $80–100M pre-IPO funding round with Avendus as its banker. The fintech aims for a valuation leap ahead of its public debut in the next 24–36 months.
Indian markets witnessed a steep fall today as Nifty and Sensex shed over 2%. Discover the three critical factors that triggered this sell-off and what it means for traders.
India's Q2 earnings season reveals a mixed bag of corporate performances. Key sectors show diverging trends as market conditions evolve.
India Inc's Q2 performance reflects a strong turnaround, with sales growth signaling recovery across sectors. Learn what this means for traders.
Major Indian companies, including Sun Pharma, GAIL India, and IDFC First Bank, are set to release their Q3 FY26 earnings on Jan 31. Traders and investors await key performance metrics to assess market impact.
A comprehensive 8-quarter analysis reveals robust corporate earnings growth in India despite significant profit variations. What does this mean for traders and investors?
The escalating Iran conflict could pose challenges to Indian corporate earnings, impacting sectors reliant on oil and global trade. Here's what traders need to know.
Indian markets gear up for March 30 as global cues from Wall Street, FII activity, and economic data set the stage for NIFTY50 and Sensex performance. Here's what traders need to know.
Indian equities faced sharp declines as Sensex fell 1,635 points and Nifty slid below 22,350. City Union Bank dropped 6%, sparking concerns among investors.
Indian markets nosedived as Nifty and Sensex closed over 2% lower. Explore the three major factors behind this selloff and what it means for traders.
ICICI Securities updates its stance on Wipro, revising the target price to Rs 410. Dive into market implications and what this means for traders.
Indian equities faced a sharp sell-off as Sensex dropped 1,636 points and Nifty breached the 17,000 mark. Key factors driving the crash revealed.
Indian stock exchanges BSE and NSE are closed today for Shri Mahavir Jayanti, halting trading activity. Here's how holidays impact trading strategies and market trends.
The Indian stock market observes a trading holiday on March 31, 2026. What does this mean for retail traders and how can you prepare effectively? Read the full analysis.
ICICI Securities has issued a bullish call on HDFC Life Insurance with a target price of Rs 739. Here's what this means for investors and the broader insurance sector.
Emkay Global downgrades Aditya Birla Fashion & Retail to 'reduce' with a target price of Rs 230. We dive into the reasons behind this move and its implications for investors.
ICICI Securities has issued a bullish call on HDFC Bank, recommending a buy with a target of Rs 1,850. Explore what this means for traders and the banking sector.
Emkay Global Financial assigns a 'Reduce' rating to Persistent Systems, citing growth challenges and setting a target price of Rs 3700. What does this mean for investors?
Emkay Global has issued a bullish call on Bajaj Finance with a target price of Rs 9000. Here's what this means for investors and how it aligns with the stock's growth trajectory.
Emkay Global Financial has issued a bullish call on Tejas Networks, recommending a 'Buy' with a target price of Rs 1100. What does this mean for investors?
LTIMindtree's Q4 FY24 net profit is expected to decline 2.2% QoQ to Rs 1,143.1 crore, as lower pass-through revenues marginally impact growth. Here's what traders need to know.
Cyient DLM posted a stellar 93% growth in profit after tax for FY24, with revenues climbing 43.2% to Rs 1,192 crore. Investors are eyeing this performance as a testament to the company’s operational efficiency and growth strategy.
Hindustan Unilever's Q4 numbers may reflect challenges from price cuts, sluggish demand, and intensified competition, with EBITDA margins under scrutiny.
Tata Consumer Products reported a 19% drop in Q4 net profit to Rs 217 crore, despite an 8.5% revenue growth to Rs 3,927 crore. The firm declared a dividend of Rs 7.75 per share.
ICICI Prudential Life Insurance reports a 26% dip in Q4 net profit to Rs 174 crore. Despite challenges, net premium income surged to Rs 14,788 crore. Here's why traders should pay attention.
Tata Elxsi reported a QoQ decline in profit and revenue for Q4 FY24, but announced a Rs 70 per share dividend, signaling confidence in long-term stability.
ICICI Prudential Life Insurance reports a 19.45% drop in VNB for FY24 but aims to focus on absolute VNB growth. What does this mean for investors?
The latest Q3 earnings reveal mixed results across Indian companies, raising concerns about future growth. Are these results signaling broader economic challenges?
Securing a home loan post-retirement can be challenging, but pensioners can improve their credit score and approval chances with smart strategies like timely repayments and joint applications.
How do capital gains taxes apply when family members co-own property under a joint development agreement? A detailed look at Sections 82 and 86 of the tax code.
SBI's report highlights the need for RBI intervention using forex reserves to stabilize the Indian Rupee amidst geopolitical tensions and economic uncertainty.
India is focusing on Africa for critical mineral diplomacy, aiming for secure energy futures through technology transfers and robust partnerships.
The Income Tax Act, 2025 introduces new clarity on TDS for interest income. Here's what Indian savers and investors need to know about the ₹50,000 threshold and its implications.
Blue Blends India revealed its financial performance for Q1-Q3FY25. Learn how the company's results impact investors and the textile sector.
The expiration of WTO's TRIPS moratorium on non-violation complaints sparks global trade uncertainty. Here's what Indian investors and traders need to know.
Oil prices showed resilience as hopes of a US-Iran conflict resolution surfaced. Learn how this impacts crude benchmarks and Indian markets.
Despite global turmoil from the Iran-US conflict, 45 Indian stocks in pharma, energy, and industrial sectors are surging. Discover the reasons behind their resilience.
Shares of BSE, Groww, Motilal Oswal, and Angel One rallied up to 8% after the RBI deferred stricter liquidity norms. Here's what this means for investors.
Begin FY27 with smart financial decisions. From budgeting to portfolio rebalancing, ensure your financial health thrives this fiscal year.
Multi-asset allocation funds are gaining traction in India, offering diversified exposure across equities, debt, and gold. Here's why they are becoming central to mutual fund strategies.
From April 1, revised STT rates and stricter margin trading rules shake up Indian markets. Here's how these changes impact traders and brokers.
Rising global tensions and inflationary concerns are driving U.S. Treasury yields higher, challenging the Federal Reserve's policy path. What does this mean for Indian traders?
IREDA's shares soared 5% on a strong Q4 update, reflecting renewed investor confidence. Here's what this means for the stock and the renewable energy sector.
The Indian government plans to maintain current import duties on pulses and extend duty-free periods for tur and urad. This strategy aims to stabilize prices and support domestic supply.
Nifty50 has delivered flat returns over two years, pressing traders to reassess strategies as geopolitical risks, a weakening rupee, and rising crude prices loom large.
India's Insolvency and Bankruptcy Code has proven instrumental in recovering bad loans, revitalizing struggling firms, and strengthening the banking sector.
FY26 brought sharp declines for 12 Nifty stocks, some dipping up to 40%. Discover key insights and strategies to mitigate risks during turbulent markets.
Market experts recommend 6 promising stocks, including DMart, MCX, and Aurobindo Pharma, for short-term trades. Here's an in-depth analysis and what it means for traders.
India's diesel exports rose 20% in March, fueled by geopolitical tensions in West Asia and favorable economics for middle distillates. Here's what this means for the economy and traders.
Gold futures on MCX hit ₹1,51,870 per 10 gm as ceasefire hopes in the US-Iran conflict and a weaker dollar drive demand. Traders eye US Fed rate cut signals.
Indian stock markets witnessed a powerful rally with Sensex climbing 2,000+ points and Nifty crossing 22,900. Key factors include geopolitical optimism, robust FII inflows, and strong domestic cues.
The Iran conflict has sparked a dramatic surge in global oil price forecasts for 2026, disrupting supply chains and impacting markets worldwide. What does this mean for Indian traders?
Hedge funds ramp up bets on yen strength as Japan signals possible currency intervention. Learn how this development could impact global markets and Indian trading strategies.
Gold prices breached ₹4,600 per gram, while silver rallied to ₹73/oz after dovish cues from the US Federal Reserve. Here's what it means for traders.
The Government has decided to maintain the interest rates for small savings schemes for April-June 2026. Here’s what it means for your PPF, NSC, and other investments.
The 8th Central Pay Commission is set to visit Dehradun on April 24, inviting stakeholders to discuss salary, pension, and allowance reforms. Applications to participate are open until April 10.
Indian equity markets rallied sharply, with Sensex gaining 1,900 points and Nifty surpassing 22,900. Key drivers include easing geopolitical tensions and strong domestic cues.
FY26 IPO market struggles as 66% of listings trade below issue price. What's driving this downturn and will FY27 offer better opportunities for retail investors?
Crude oil prices climbed 2% despite growing optimism about a near-term resolution to the US-Iran war. What does this mean for energy markets and Indian stocks?
Garden Reach Shipbuilders & Engineers (GRSE) shares jumped 16% after reporting an impressive FY26 turnover of Rs 6,400 crore. Here's what led to this rally and what traders need to know.
South Korea's exports soared by 48.3% in March, powered by semiconductor demand linked to AI advancements. Rising oil tensions, however, warrant caution for global markets.
Former R&AW Chief Vikram Sood warns of inflation risks for India if the West Asia crisis escalates, citing oil and fertilizer shortages as key concerns.
April 1 brings sweeping updates to income tax rules, LPG prices, and PAN regulations. Learn how these changes impact your finances and investments.
Indian markets may see a recovery as GIFT Nifty rises 240 points, driven by easing geopolitical tensions and falling crude oil prices. Can Sensex and Nifty bounce back?
Indian equity markets saw a sharp decline, losing Rs 9.4 lakh crore in market cap as global turmoil, crude oil prices, and a weakening rupee spooked investors.
The Sensex surged by nearly 3%, adding ₹13 lakh crore in investor wealth. We break down the 5 key drivers of this remarkable rally and its implications for traders.
India's fiscal deficit for April 2025-February 2026 stood at ₹12.53 lakh crore, marking a notable reduction compared to the previous year. Here's what it means for the economy and markets.
Silver prices fell 1% in India due to profit booking, while gold gained 0.5% as easing Middle East tensions improved investor sentiment. Explore market implications for traders.
The Sensex soared over 1,900 points while the Nifty 50 breached the 22,900 mark, signaling a robust market comeback. Here's what’s driving this surge and what it means for Indian traders.
March's market correction has opened doors for savvy investors eyeing large-cap stocks. Here's a detailed analysis of 10 large-cap opportunities with potential gains up to 81%.
The RBI’s recent move to counter speculative dollar buying has eased pressure on the rupee, but structural challenges like geopolitics and high crude prices remain.
Indian railway stocks face challenges from weak execution and margin pressures. Learn which stocks to watch and how traders can position themselves.
Gold prices rallied to a two-week high on MCX amid a weaker dollar, while silver saw a sharp decline. Here's what Indian traders need to know.
Gift Nifty suggests a robust start for the Indian stock market. Analyst Vaishali Parekh highlights SAIL, Arvind Fashions, and Coal India as top buys for today.
IndiGo's shares soared 8% after naming aviation veteran William Walsh as CEO. Here's what this leadership shift means for stakeholders.
The NSE is set to launch its IPO via an OFS worth Rs 20,000 crore, creating a buzz in India's financial markets. Here's what traders need to know about this landmark event.
Market crashes offer invaluable lessons that no textbook can replicate. Learn how fear and resilience shape great investors and why conviction is forged in uncertainty.
Indian stock markets soared as Nifty crossed 22,900 and Sensex surged by 1,900 points, led by gains in HDFC Bank and Reliance Industries. Read the full analysis here.
Gold prices climbed to a two-week high as a weaker dollar and easing geopolitical tensions boosted investor sentiment. Silver followed suit with steady gains. Here's what it means for Indian traders.
Gold prices dipped while silver saw a slight uptick on 31 March. Explore the latest rates across major Indian cities and understand the global market forces driving these changes.
Motilal Oswal's Chandan Taparia recommends buying NALCO and ONGC, while advising traders to sell one specific stock. Here's a deeper dive into his strategy.
Six Nifty 500 stocks, including IRB Infrastructure, have shown bullish RSI signals, crossing above 50 and indicating strong price momentum. Here's what traders need to know.
Amid Middle East tensions, the US dollar strengthens as a safe-haven, while soaring oil prices stir fears of a global slowdown. Here's what it means for Indian markets.
Asian stocks nosedive as US-Iran tensions escalate, with Kospi falling 4% and Nikkei 225 down 2.2%. Indian markets may face ripple effects—here's what to watch.
The Indian government announces temporary customs duty reductions for SEZ goods sold domestically, a move aimed at boosting local consumption and industrial competitiveness.
Market volatility persists as crude oil prices rise and foreign institutional investors weigh on Indian indices. Traders should brace for fluctuations today.
Housing sales in India's top 9 cities declined 13% YoY in Q1 2026, falling below the 1 lakh mark for the first time in 18 quarters. Explore the reasons and implications for the market.
The new financial year brings revised income tax norms, adjustments in fuel pricing, and streamlined deductions. Here's what Indian traders and investors need to know.
IndiQube Spaces leases 48,000 sq ft in Bengaluru to a global health tech firm. The deal marks a significant milestone for the flexible workspace provider, with rental revenue projected at Rs 75 crore over five years.
India abolishes the ₹10 lakh courier export cap from April 1, aiming to accelerate e-commerce growth, empower MSMEs, and streamline logistics efficiencies.
PropShare Celestia, India's first registered SM REIT, is set to launch its Rs 244.65 crore IPO on April 10. Here's what retail investors need to know.
India's updated income tax regulations, effective April 1, bring higher taxes on speculative trading gains and relief for overseas travel and remittances. Here's how it impacts your finances.
Indian markets saw a spectacular surge as Sensex gained 1,900 points and Nifty rose 2.6%. Discover the three major drivers behind this bullish momentum.
Bitcoin remains resilient at $67,000 despite geopolitical uncertainty. Traders eye growing long-term holder demand as altcoins face pressure.
The Indian government unveils transformative reforms to bolster domestic supply chains as global disruptions intensify due to West Asia's conflict.
Vegetable prices have plummeted as much as 80% since January, driven by a supply glut and peak harvest arrivals. This sharp decline is intensifying farm distress and could impact rural demand and inflation trends.
Debt mutual fund investors face a crucial decision: opt for duration strategies betting on rate cuts or choose accrual funds for steady income. Explore which suits today’s market.
Indian markets witnessed a sharp rally as Sensex jumped 1,700 points and Nifty scaled 22,850. Key stocks like Trent and DMart led gains, signaling strong investor confidence.
The RBI's net short position in forwards surged to $77 billion in February, signaling intensified efforts to stabilize the rupee. Discover its implications for traders and the economy.
Dow futures jumped nearly 500 points as reports suggest Donald Trump plans to de-escalate the Iran conflict. A potential rally in Wall Street could impact global markets, including India.
The Income-Tax Act changes effective April 1 will reshape your salary structure. Learn how these reforms affect take-home pay, tax liabilities, and financial planning.
Despite market turbulence, Rajesh Bhosale highlights two stocks poised for near-term performance. Banking struggles persist, while metals shine.
As the new quarter kicks off, here's what Indian investors can expect from Nifty 50 and Sensex on April 1. Stay ahead with key levels and sector trends.
Japan's Foreign Ministry launches a dedicated cell to streamline investments in India, aiming to address regulatory hurdles and boost bilateral economic ties.
Indian stock markets will remain closed tomorrow, March 31, for Mahavir Jayanti. This marks one of several holidays impacting trading schedules this month. Learn what it means for traders.
The government has notified seven ITR forms for AY2026-27. Here's a guide to choosing the right form and understanding how these updates impact taxpayers.
Australian markets faced a downturn as banks and tech stocks pulled the S&P/ASX 200 lower. Energy stocks gained, buoyed by rising oil prices amid geopolitical tensions.
India's apparel exports rose by a modest 1.5% amid US tariff challenges, with a weaker rupee aiding local currency earnings. Diversified export markets like UAE and UK offered some relief.
Discover how structured estate planning can help entrepreneurs preserve their brand, recipe, and intellectual property for the next generation.
Gold and silver prices saw notable movements on 30 March. Stay updated on rates for 24 kt, 22 kt gold, and silver across major Indian cities like Delhi, Mumbai, and Chennai.
Shares of Asian Paints and Berger Paints fell up to 3% as crude oil prices reached $113 per barrel. Rising input costs have spooked investors, raising concerns about future margins.
With changes to the Income Tax Act effective April 2025, taxpayers must weigh the old and new regimes. Here's a detailed guide to make an informed choice for FY27.
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Indian households hold vast gold reserves, yet bank lockers may not fully insure them. Discover safer ways to protect and optimize your wealth.
Rajputana Stainless launched on the bourses with a modest 1% premium over its IPO price. Analysts weigh in on why the debut was muted and what it signals for retail investors.
The US has announced Social Security payment dates for April 2026, with distributions tied to birth dates. What does this mean for retirees and global markets?
Sensex nosedives amid HDFC Bank turbulence and hawkish Fed signals. Find out why analysts recommend PG Electroplast and Samvardhana Motherson shares amid market volatility.
Indian markets witnessed a bullish sentiment today with Sensex climbing significantly and Nifty gaining 550 points. IndiGo shares soared by 7% following IOC clarifications.
Indian markets soared as Sensex gained 1,700 points following geopolitical shifts involving Iran. Traders eye potential ripple effects across sectors.
The gold-silver ratio has jumped to 65, reflecting heightened uncertainty from US-Iran tensions. Here’s what Indian traders need to know.
Amid global uncertainties from geopolitical tensions and rising energy prices, Indian markets find resilience in attractive valuations. Here's what traders should watch.
Nifty 50 nosedives 10% in March as geopolitical tensions and surging crude oil prices rattle markets. Experts urge caution against 'buy-on-dips' strategy.
Despite consistent PAT growth across four quarters, these six stocks have faced steep declines of up to 35% YTD. Are they undervalued opportunities or potential traps?
The OECD has trimmed India's FY27 growth outlook to 6.1%, citing global challenges like energy price volatility and inflationary pressures, despite potential trade support from eased US tariffs.
The Indian rupee braces for turbulence as global energy shocks and regulatory shifts loom large, influencing its medium-term trajectory.
Master your personal finances in FY27 with these 7 rules: from budgeting and debt control to smart investing and tax planning. Build a financial future that stands strong.
Warren Buffett's investing wisdom emphasizes patience, sound decision-making, and value-based stock picking. Learn how his philosophy aligns with building wealth through long-term strategies in Indian markets.
CMPDI shares fell 7% on debut despite solid fundamentals and institutional backing. We analyze whether the stock could still offer long-term value for Indian investors.
India and Australia are preparing to restart trade negotiations, aiming to deepen economic ties. Key sectors like agriculture, technology, and services may see phased agreements.
Starting April 1, new Income Tax rules could reduce take-home salaries for many employees. Learn about changes to company perks, interest-free loans, and more.
India's new flat 12% buyback tax reshapes the landscape for promoters and corporates, sparking debate over equity market implications.
The Defence Acquisition Council's ₹2.38 lakh crore approvals have sparked optimism among brokerages, predicting a surge in Indian defence stocks. Here’s what it means for traders.
Foreign investors sold Rs 1.14 lakh crore of Indian equities in March 2026, extending the year's total outflow to Rs 1.27 lakh crore. Geopolitical tensions and global rate hikes weigh heavily.
Indian markets rebounded marginally as investors grappled with mixed signals from the US-Iran conflict. What does this mean for Nifty and broader market sentiment?
Gold and silver prices on the MCX saw a sharp decline today, driven by geopolitical instability and inflation concerns. Traders must watch market cues carefully.
HDFC Bank shares slid after its chairman’s sudden resignation, but analysts argue this is a buying opportunity due to strong fundamentals and attractive valuations.
The Russell 2000 enters correction territory as geopolitical tensions in Iran stir inflation fears and dampen rate-cut expectations. Indian traders take note of global ripple effects.
The government has revised interest subvention norms for export credit, effective January 2. Loans turning into NPAs will no longer qualify for support, and early repayment conditions have been clarified.
ICAR-IVRI's innovative reproductive technologies promise rapid genetic improvement for India's dairy sector, boosting productivity and economic growth.
India-China border trade via Lipulekh Pass restarts after six years. What does this revival mean for bilateral ties and economic dynamics?
In a dramatic turn, Sensex and Nifty fell over 3% in a single day, marking the steepest drop since the June 2024 crash. What triggered this market nosedive?
T3 Defense's stock nosedives 59% this March, falling below $1. Despite global defense demand, the company struggles with investor confidence.
Gold prices dropped 1.8% after reports of increased US troop deployment in the Middle East, reflecting heightened geopolitical risks for global markets.
The escalating conflict in Iran shakes global markets, sparking a sell-off in bonds, stocks, and gold. Here's what it means for Indian investors.
Chinese defence stocks like AVIC Chengdu and China Aerospace Times are underperforming despite global conflicts escalating. What's driving this downturn?
The escalation of conflict in Iran has sent shockwaves through global markets, triggering sell-offs in stocks, bonds, and commodities. Here's how it impacts investors.
The Central Mine Planning IPO opens March 20, offering 10.71 crore shares. Here's everything you need to know about the price band, GMP, and investment potential.
Gold and silver prices in India saw sharp declines as the US Federal Reserve maintained a hawkish tone, clouding rate cut expectations. Here's how traders can strategize.
Despite heightened geopolitical tensions between Iran and Israel, Indian defence stocks have struggled to gain traction, with some falling up to 11%. What does this mean for investors?
The SEC's approval of Nasdaq's tokenized trading initiative marks a groundbreaking step in integrating blockchain with traditional markets. Here's what it means for global and Indian investors.
Indian markets witnessed a sharp fall as Sensex tumbled 1,900 points, erasing Rs 7 lakh crore in market cap. Here's what led to this dramatic crash.
HDFC Bank shares plunged over 8% to a 52-week low after the sudden resignation of Chairman Atanu Chakraborty. With governance concerns emerging, traders are assessing whether this is a buying opportunity or a red flag.
Global cues like US Fed policies and geopolitical tensions weigh on markets. Experts share top stock recommendations and market strategies for traders today.