Indian Stocks to Open Higher; Foreign Funds Exit
Indian equity benchmarks are poised for a higher opening on Friday, Jan 2, 2026, but persistent foreign fund outflows may limit gains. Key corporate updates and quarterly earnings in focus.
Indian equity benchmarks are poised for a higher opening on Friday, Jan 2, 2026, but persistent foreign fund outflows may limit gains. Key corporate updates and quarterly earnings in focus.
The Indian rupee depreciated to 89.99 against the US dollar on Jan 1, 2026. Explore the causes, expert analysis on volatility, and the full 2026 currency outlook. Read more.
RBI's Financial Stability Report highlights geopolitical tensions and trade tariffs as major risks, causing rupee depreciation and FPI outflows. Explore the central bank's analysis and the economy's buffers.
Despite record secondary market sales in 2025, foreign portfolio investors remain net buyers in India, investing over ₹5.35 trillion in IPOs since 2015. Discover why global giants like BlackRock are choosing the primary route.
Indian stock markets opened flat on Thursday, with Sensex and Nifty showing muted movement. Experts predict range-bound trading amid persistent FPI outflows and mixed global signals. Read the full analysis.
Indian stock markets fell on Dec 29 amid record FPI outflows and weak liquidity. Nifty closed at 25,938. Discover the top gainers and losers.
As the Sensex hovers near record highs, Indian markets face pivotal questions on AI hype, FPI flows, retail sentiment, and IPO momentum in 2026. Discover the factors shaping the next phase.
Indian stock markets brace for a cautious final week of 2025 as FPIs and prop traders build significant bearish positions. Nifty expected to trade sideways with a bearish bias amid thin holiday volumes. Key details inside.
After a bruising 2025 where the Indian rupee fell over 6%, its worst performance in Asia, the outlook for 2026 depends on US trade talks and foreign investor sentiment. Will it stabilize or slide further?
As yields stabilise, Indian investors are re-evaluating fixed income for portfolio stability and income. Discover the 2025-2026 roadmap for smart investing.
Foreign investors flee Indian equities in 2025, marking worst-ever annual outflow of ₹1.58 lakh crore. Discover the reasons behind the sell-off and how DIIs saved the market.
Global brokerage Jefferies rebalances its Asia ex-Japan portfolio, increasing weightage for India and Taiwan while reducing exposure to China and Indonesia. Discover the strategic shift and its market implications.
Foreign investors pulled a historic ₹1.6 lakh crore from Indian stocks in 2025 due to global volatility and high valuations. Analysts see a potential 2026 rebound. Read the full analysis.
India reclaims top spot in Mint's Emerging Market Tracker with a 19.4% export surge in November, outpacing China, Malaysia, and Brazil. Discover the drivers and risks ahead.
Foreign investors pulled a record $18B+ from Indian equities in 2025. We explore the reasons behind the tepid interest despite 8% GDP growth and its implications for India's economy. Read the full analysis.
Indian stock markets opened lower on Friday, dashing hopes of a Santa rally. Experts say Union Budget 2026 and trade deals will be key triggers for a rebound. Read full analysis.
Sensex heads for a marginal December loss as domestic institutional investors pump in ₹7.55 lakh crore to cushion markets against foreign outflows. Experts explain the shift.
Stop overcomplicating your investments. A portfolio of 4-6 well-chosen mutual funds is sufficient for most Indian investors. Learn the core-satellite strategy to build wealth without confusion.
RBI data reveals a 54.5% surge in Indian investments abroad to $1.96 billion in 2025, driven by US market outperformance. Learn why investors are diversifying globally and the risks involved.
Indian equity benchmarks are likely to open little changed on Tuesday, December 23, after two sessions of gains. Analysts cite a lack of fresh triggers and thin holiday-season volumes. Get the latest market insights.
India's economy grew 8.2% in Q2 FY26, showing resilience despite global trade uncertainties and foreign portfolio outflows, says RBI. Domestic demand remains strong.
Explore why a mix of gold and silver may offer better portfolio resilience. Learn about the new Mirae Asset Gold Silver Passive FoF NFO closing August 25, 2025. Consult your advisor before investing.
Kotak Mahindra Bank CEO Ashok Vaswani details his two-year transformation plan, aiming for a 'younger, leaner, hungrier' bank. He discusses 2026 strategy, FPI exits, and future banking skills. Watch the full interview.
Indian stock markets are poised for a positive opening as hopes for an India-US trade deal rise and the rupee strengthens. FPIs turn net buyers, signaling bullish sentiment. #StockMarket #Sensex #Nifty
As a holiday-shortened week begins, Indian stock markets eye foreign flows, currency moves, and global data. Experts predict subdued volumes but a positive bias. Read the full analysis.
Indian stock markets are set for a range-bound week, driven by FPI trading, rupee movement, and key global macro data. Stay updated on market trends.
The Indian rupee surged to 89.27 against the dollar, its strongest single-day gain in months, driven by aggressive RBI intervention. Discover the full story behind the rebound.
Indian markets ended flat on Dec 18 after 3-day fall. FPIs turned net buyers, investing ₹1,171 crore. Discover the day's top gainers like HDFC AMC and Hindustan Copper.
The Indian rupee has depreciated 6% against the US dollar in 2024, marking it as Asia's worst-performing currency. Key factors include a strong dollar, foreign fund outflows, and election uncertainty. Explore the full analysis.
India's rupee is the worst-hit currency by US tariffs, sliding to a record 91.075/$. Experts see more pain unless a trade deal is struck, despite cheap valuations. Key insights inside.