Category : Search result: Kospi volatility


Indore Gold Sales Drop 40% as Prices Soar

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 Sells $11.9B in Oct to Support Rupee

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.

Infosys ADR Jumps 40%, Triggers NYSE Trading Halt

Infosys ADR surged 40% in a low-liquidity session, hitting a 52-week high and forcing a NYSE trading halt. Analysts point to a possible short squeeze or data glitch. Read the full analysis.

India VIX Near 52-Week Low, Down 34% This Year

India's volatility index, VIX, nears a 52-week low, dropping over 34% YTD. Experts decode the calm, linking it to investor faith and policy reforms. Read more for market insights.

India VIX at Record Low: What It Means for Stocks

India's volatility index, VIX, plunged to a record closing low of 9.71, reflecting low market fear and expectations of stability. Experts decode the implications for traders and the road ahead. Read more.

Bitcoin Braces for $23B Options Expiry, High Volatility

Bitcoin's price faces intense pressure as $23 billion in options contracts expire next Friday, threatening to spike volatility. Traders brace for downside risk amid a fragile market. Read the full analysis.

Expert View: Indian Market Rebound in 2026

Alchemy Capital's Mythili Balakrishnan shares insights on India's 2026 market outlook, earnings revival from Q3FY26, AI investment themes, and navigating rupee volatility. Read the full interview.

Indian Rupee Volatile, Trades at 83.53 vs US Dollar

The Indian rupee experienced significant volatility against the US dollar in early trade on Tuesday, influenced by foreign fund outflows and a strong greenback overseas. Key details inside.

South Korea shares rise as chip stocks rebound

South Korean shares climbed on Wednesday, led by a rebound in chipmakers like Samsung. The KOSPI gained 0.55% to 4,021.19, while the won weakened against the dollar. Read the full market analysis.

Private Credit AIFs: India's Steady Return Haven

As global markets swing, investors seek stable, risk-adjusted returns. Discover how India's private credit AIFs, now a $20.6 billion market, provide a resilient alternative linked to the real economy.

Asian Markets Climb as US Rate Cut Hopes Buoy Sentiment

Asian stock markets mostly advanced Tuesday, lifted by expectations of US interest rate cuts and a slight easing in Japanese bond yield concerns. Key indices in Hong Kong, Japan, and South Korea posted gains.

Kiyosaki Warns Biggest Market Crash Has Begun

Rich Dad Poor Dad author Robert Kiyosaki claims the biggest market crash has started due to AI-driven job losses. He recommends silver as the best investment option. Read his full analysis.

Asian markets end strong week on Fed rate cut hopes

Asian markets traded in a narrow range, capping a robust weekly gain fueled by expectations of a US Federal Reserve rate cut. Key indices like Nikkei and Kospi showed mixed trends. Read more for a detailed analysis.

IMF Reclassifies India's Currency Regime

The IMF has changed India's exchange-rate classification to 'crawl-like arrangement', citing RBI's frequent intervention. Discover the impact on the rupee and economic growth forecasts.

IMF Reclassifies India's Exchange Rate Framework

IMF reclassifies India's exchange rate to 'crawl-like', urging more flexibility. Rupee volatility rises under RBI's Malhotra. Discover the impact on India's economy and global trade.

AI Stocks 2025: Growth vs Bubble Fears

AI stocks remain key growth focus in 2025 with massive infrastructure investments. Experts analyze bubble risks vs long-term potential. Discover which companies lead the revolution.

Rupee Rises on RBI Intervention After Record Low

The Indian rupee recovered from its record low of 89.49, boosted by RBI intervention. Near-term volatility hit a multi-month high. Discover the factors behind the currency's movement and its impact on bonds.

Stock Market Sees Biggest Swings Since April

US stock markets face a turbulent year-end with the S&P 500 down 4% and Nasdaq 7% from October highs. Uncertainty over Fed rate cuts and AI stock valuations fuels investor anxiety. Discover the key factors driving the volatility.

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