Foreign Fund Outflows, Blue-Chip Selling Hit Indian Stocks
Indian stock markets closed lower on Thursday, pressured by sustained foreign fund outflows and heavy selling in blue-chip stocks, reflecting investor caution amid global uncertainties.
Indian stock markets closed lower on Thursday, pressured by sustained foreign fund outflows and heavy selling in blue-chip stocks, reflecting investor caution amid global uncertainties.
Indian stock markets opened higher but reversed gains due to foreign fund outflows and selling pressure in major blue-chip stocks, ending the session in negative territory.
GE Vernova, Apar Industries, Cummins India among stocks falling up to 6.5% as India may ease curbs on Chinese firms bidding for $750bn govt contracts. Read the full market analysis.
An NRI from Hong Kong selling Gold ETF after 3 years faces 12.5% LTCG tax in India. No ₹1.25 lakh exemption applies. Understand the DTAA impact.
Indian stock markets witnessed a sharp decline on January 12, 2026, with key indices dropping nearly 1% due to foreign fund outflows and global trade tensions. Key stocks like RIL and L&T were major laggards. Read the full analysis.
Dalal Street plunged as Sensex fell over 700 points and Nifty slipped below 25,000 due to foreign fund outflows and global worries. Discover the top gainers and losers and expert market analysis.
Indian stock markets opened sharply lower on January 12, 2026, with the Sensex dropping 455 points. Foreign fund outflows and global trade tensions triggered the sell-off. Get the full analysis here.
Dharana Capital secures $250 million for its second growth fund to invest in Indian tech and consumer businesses, aiming to build large, standalone listed companies. Discover their investment strategy.
The BSE Sensex dropped 455 points to 73,466, while the Nifty fell 152 points. Foreign institutional investors turned net sellers, offloading shares worth ₹6,669 crore. Discover the key factors behind the market decline.
Indian markets may open flat on Monday amid US-Iran tensions and foreign fund outflows. Key stocks like TCS, NTPC, and DMart in focus. Read for full analysis and trading cues.
CY2025 saw divergent Indian equity returns: large-caps gained 9%, small-caps fell 9%. FII outflows hit $17.7B. A US-India tariff deal in 2026 is crucial for recovery. Read the full analysis.
Indian stock markets witnessed a broad sell-off last week. Nifty and Sensex fell over 2.5% as US tariff threats and FPI outflows rattled investors. Experts eye Q3 earnings for direction. Read more.
Indian stock markets closed lower for the fifth consecutive session. Sensex fell 605 points amid US tariff worries, FII outflows, and pre-earnings caution. Expert analysis and key levels inside.
Indian stock markets closed lower for the fifth consecutive session on January 9. Get key technical levels for Nifty, Bank Nifty, and 3 stock picks from an expert for the coming week.
AMFI data reveals a slowdown in equity mutual fund inflows to ₹28,054 crore in Dec 2025, while gold ETF investments surge over 3x. Discover the shifting trends in investor portfolios.
Indian stock markets traded in the red on Friday. Sensex fell over 400 points, Nifty below 26,000. US tariff threats and FPI outflows weigh on sentiment. Key gainers and losers inside.
Equity mutual fund inflows fell over 6% in December to ₹28,054 crore, while debt schemes saw massive redemptions of ₹1.32 lakh crore. Flexi-cap funds led equity inflows. Read the full analysis.
Indian stock market benchmarks traded lower on January 9, 2026, with the Sensex shedding 79 points. Foreign fund outflows and renewed tariff hike concerns weighed on sentiment. Read the full analysis.
The Indian rupee closed weaker despite RBI's surprise dollar sales. Pressure from US tariff threats and equity outflows overpowered intervention. Key details on market moves inside.
Indian markets extended losses for the fourth consecutive session on January 8, 2026, with the Sensex plunging 780 points. Deep cuts in metal and oil stocks, coupled with FII outflows, fueled the sell-off. Read more for a detailed analysis.
Indian stock markets opened lower on Thursday, with the Sensex falling 256 points and Nifty dropping 66 points amid persistent foreign fund outflows and global trade uncertainties. Get the latest market analysis.
UBS Investment Bank predicts the Indian rupee will weaken to 92 per US dollar by March. Key factors include RBI's FX reserve rebuilding and capital outflows. Get the full analysis.
Indian stock indices started Wednesday's session in the red, with Sensex and Nifty falling due to geopolitical risks and foreign fund outflows. Expert Jay Thakkar shares market outlook and stock picks.
UBS Investment Bank predicts the Indian rupee will weaken to 94 against the US dollar by FY27. Persistent capital outflows, weak nominal growth, and RBI's FX strategy are key drivers. Read the full analysis.
Many Indians are unaware of capital gains tax on property sale. Learn about long-term vs short-term gains, tax rates, and two legal ways to save tax under Sections 54 and 54EC. Expert advice by Balwant Jain.
Delays in the India-US trade deal, including the 25% penalty tariff removal, are expected to prolong market underperformance. FII outflows, INR volatility, and sectoral vulnerabilities add to the concerns. Read the expert analysis.
SAHM Capital's investor community has rapidly grown to 6,000 weekly active contributors within its first three months, showcasing strong retail investor engagement in India's capital markets.
Indian stock market gains lagged behind global peers in 2025 due to foreign outflows and a weak rupee. Discover key data and the outlook for 2026 recovery.
In 2025, Indian markets saw a historic divide: DIIs invested a record $90 billion while FIIs sold off $19 billion. Explore the causes and 2026 outlook.
India's private equity landscape evolves as enterprise tech and deeptech lead the next wave. Deal volume rises but value dips, signaling investor selectivity. Discover the key trends shaping 2026 investments.