Walmart Replaces AstraZeneca in Nasdaq-100 Index
Retail giant Walmart will join the prestigious Nasdaq-100 Index on January 20, replacing AstraZeneca. This follows its move from the NYSE. Discover the strategic reasons behind this major shift.
Retail giant Walmart will join the prestigious Nasdaq-100 Index on January 20, replacing AstraZeneca. This follows its move from the NYSE. Discover the strategic reasons behind this major shift.
Indian investors pivot to SIPs for disciplined wealth creation amid volatility. SIP contributions hit Rs 3 lakh crore in 2025, now 35% of equity MF inflows. Learn why this structural shift is reshaping retail investing.
Indian investors pour a record ₹11,647 crore into gold ETFs in December, seeking a safe haven from stock market volatility. Discover why gold is outperforming equities.
China's consumer inflation accelerated to 0.8% in December, the highest since Feb 2023. However, economists warn underlying deflationary pressures from weak demand and industrial overcapacity persist. Read the full analysis.
HSBC warns silver prices are fundamentally overvalued, forecasting continued volatility into 2026. Key drivers include industrial demand, investment flows, and Fed policy. Read the full analysis.
Haryana's Finance Department reports significant volatility in state receipts, including GST and excise, posing a challenge for accurate budget forecasting. Key findings revealed.
Indian stock markets face familiar pre-Budget turbulence as VIX jumps 8%. Historical data suggests volatility spikes before February 1, then fades. Explore sectoral trends and expert insights.
A massive $45 billion worth of IPO lock-in expiries are set to hit Indian markets in coming months, potentially triggering volatility. Nuvama warns of pressure on specific stocks. Read the full analysis.
India is closely observing the situation in Iran following protests over fuel price hikes. A former envoy confirms the bilateral relationship remains firm and strong despite regional volatility. Read more for expert analysis.
Chasing market timing is like building the Maginot Line. Data shows perfect execution yields only ~1% extra CAGR. Learn why asset allocation and discipline are superior strategies for Indian investors.
Indian rupee faces heightened volatility this week due to Venezuela crisis & global risk-off sentiment. Bankers see it testing 90.50-91/$ before RBI's $10 bn swap on Jan 13. Read more.
US military action in Venezuela could lower crude oil prices, potentially aiding Indian equities. Experts debate short-term volatility vs long-term tailwinds for Nifty and Sensex. Read analysis.
Gold and silver prices face a turbulent week as investors react to US economic data and geopolitical tensions after the capture of Venezuela's President. Key levels and expert forecasts inside.
IMD data reveals Pune and other Maharashtra districts experiencing unusually dry winter with low humidity and cold air, raising health and air quality concerns. Learn the implications.
RBI's December 2025 report flags global uncertainty & domestic financial linkages as key risks for India in 2026. Banks are strong but face pressure. Read the full analysis.
Despite high volatility in 2025, Gujarat-based companies like GMDC (88% returns) and Adani Power (35%) outperformed. Discover the resilience of Gujarati stocks in a challenging global year.
The Indian rupee is expected to remain volatile until 2026 due to capital outflows and trade disruptions, despite strong growth. Key levels and expert analysis inside. Read more.
RBI Governor Shaktikanta Das expresses confidence in India's economic resilience, projecting 7.2% growth for FY25 despite global headwinds. Read the full analysis.
The Indian rupee experienced its most volatile year in 2025, swinging wildly against the US dollar. Discover the key drivers, from Fed policy to geopolitical tensions, and what lies ahead for the currency.
The RBI expects the Indian rupee to remain volatile in 2026. A potential US trade deal may help long-term stability but won't be an immediate solution to currency pressures. Read more.
Indian markets displayed remarkable resilience in 2025, ending 8% higher despite global turmoil. Explore the data behind the Sensex's calm and what it means for investors.
Global silver market witnessed extreme volatility with prices swinging over 14%. MCX futures hit a record Rs 2.5 lakh/kg before a sharp correction. Read the full analysis of the factors behind the turbulence.
Indian silver ETFs witnessed extreme volatility on Dec 29, with Nippon, Kotak, and Tata funds swinging up to 29% intraday. The chaos was triggered by China's export ban and CME margin hikes. Read more.
The NCR property market defies volatility in 2025, witnessing 15-20% price growth. Gurugram leads with high-end demand. Discover the key drivers and future outlook.
Shares of SBI Life-backed PNB Housing Finance surged over 3% on December 23, 2024, defying broader market volatility. Discover the key drivers behind this resilience.
From Trump's tariffs to Powell's steadfastness and India's rupee woes, the Bard's words perfectly capture the economic narratives of 2025. Discover the parallels.
Indian markets saw extreme volatility in 2025, with Nifty swinging from below 22,000 to past 26,000. Discover how dynamic asset allocation funds delivered steady returns and could be a cushion for 2026. Learn which funds topped the chart.
Indore's famed sarafa market sees a 40% business drop this wedding season due to record gold prices and extreme volatility. Traders shift to order-only model. Read more.
RBI intervenes heavily in forex markets, selling a net $11.9 billion in October 2025 to stabilise the rupee. Data reveals a strategic mix of spot and forward sales to manage volatility. Read the full analysis.
India's stock market volatility hits an all-time low, challenging derivatives traders. Discover how SEBI curbs and domestic flows are reshaping Asia's largest options market. Read more.