Insights, guides, and updates on AI trading in Indian markets
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Nomura projects a short-term slowdown in India’s growth for early FY27, followed by a rebound as supply disruptions ease.
Commerce Minister Piyush Goyal emphasizes leveraging FTAs to expand market access and boost India's export potential.
The RBI's new Expected Credit Loss (ECL) framework will introduce a staging model for asset classification, replacing the incurred-loss approach by April 2027.
India is gearing up to finalize trade agreements with the US and EU, signaling a major boost to its global economic footprint.
The RBI's revised risk weight norms aim to simplify credit access for small businesses and individuals, with exposure capped at ₹10 crore per borrower.
Sun Pharma's $11.75B Organon acquisition boosts global reach but poses integration challenges.
US markets posted slight gains as S&P 500 and Nasdaq edged higher ahead of a busy earnings week.
A potential Warsh-led US Fed could disrupt Treasury markets and influence global yields. Here's how Indian traders can prepare.
Oil prices spiked on geopolitical concerns, while NIFTY saw modest gains. Here's how Indian traders can respond.
Gold prices declined as traders monitored US-Iran peace talk efforts, impacting global inflation concerns.
Indian markets gained 0.8% as regional tensions eased, boosting heavyweight stocks.
Axis Bank shares fell 3% as higher provisions overshadowed robust loan growth, despite 94% 'Buy' ratings from analysts.