Santa Rally Reality Check for Indian Investors
December markets hold a seasonal allure, but data shows the Santa Rally is not guaranteed. Learn what history says and how Indian investors can build a resilient portfolio for 2025.
December markets hold a seasonal allure, but data shows the Santa Rally is not guaranteed. Learn what history says and how Indian investors can build a resilient portfolio for 2025.
India's stock benchmarks are poised for a muted start as persistent foreign selling and a weakening rupee weigh on sentiment. Hopes for a swift India-U.S. trade deal are fading. Get the full market analysis.
An investment expert outlines a strategic 75-10-15 portfolio mix of equity, debt, and gold to achieve ₹1 crore in a decade. Learn about the required SIP, tax implications, and disciplined approach.
Gold's bull run is set to continue into 2026, with Ventura forecasting a target of $4,600-$4,800. Driven by central bank buying and US deficits, the rally is far from over. Learn why Indian investors should consider a 5-10% portfolio allocation.
Gold soared 30% in 2024, but chasing performance is a trap. Learn why a diversified, multi-asset portfolio is essential for navigating 2025's volatile markets and achieving long-term wealth.
India and the US are set to sign a key trade pact by end-2025, aiming to resolve 50% tariffs. ICICI Direct identifies 7 stocks poised for gains as exports rebound. Read for expert insights.
Indian rupee plunges 28 paise to a historic low of 90.43 against the US dollar. Foreign investor sell-off and US-India trade deal uncertainty drive the fall. Get the full analysis.
Russian investments in Indian equities tripled to $1.1 billion in FY25, the highest in four years, amid shifting global capital flows. Discover the key drivers and market impact.
India's stock benchmarks are set to open higher on Dec 2 after a pause near record highs. Key factors include FPI outflows, RBI policy, and strong domestic buying. Read more for analysis.
Multi-asset allocation funds offer diversification across equity, debt, and gold, helping Indian investors navigate market volatility. Discover their compelling benefits for long-term wealth creation.
The Indian rupee plunged to a historic low of 89.83 against the US dollar on Monday. Persistent foreign fund outflows and uncertainty over the India-US trade deal are key factors. Read more for analysis.
Discover why Indian investors turn to gold and silver during stock market volatility. Learn how these metals provide portfolio protection and wealth preservation strategies.
Comprehensive analysis of India-US economic indicators including currency movements, trade trends, and employment data. Discover how these shifts impact portfolio positioning for coming quarters.
Learn asset allocation wisdom from Mahabharata's Arjuna. Discover why compartmentalizing investments for goals reduces efficiency and how fungible money strategy wins.
Sebi proposes changes to basic service demat accounts to exclude worthless securities from portfolio valuation, making BSDA more accessible and affordable for small investors.
Discover how Walmart's $2.7 billion investment in employees transformed the retail giant from corporate villain to Harvard Business School success story. Learn the strategy behind their 420% stock growth.
Master long-term cryptocurrency investing with proven strategies for Indian investors. Learn risk management, portfolio diversification, and secure trading practices.
BlackRock raises US stock allocation to 3% overweight, shifting $4.2B from growth to value stocks. Discover how the $185B platform is navigating AI valuation concerns.
Sebi considers net settlement system for foreign investors to lower transaction costs and boost inflows as India faces ₹1.4 trillion FPI outflow in 2025. New reforms aim digital transformation.
Indian mutual fund investors are diversifying portfolios with flexi-cap and mid-cap funds, shifting from large-cap and small-cap investments. AMFI data reveals significant inflow changes and strong mid-cap fund performance.
Indian cricket captain Harmanpreet Kaur's brand portfolio expected to triple following World Cup performance. Discover how her off-field engagements have skyrocketed since the tournament.
India poised for foreign investment recovery by 2026 as nominal GDP growth accelerates to 10%. Elara Capital report reveals strong correlation between GDP cycles and FPI inflows since 2010.
Gold delivers a stunning 40% return in 2025, eclipsing equities. Experts advise a balanced portfolio strategy. Discover the optimal gold allocation for long-term wealth.
Nifty 50 and Sensex opened flat amid muted global cues. Analysts see consolidation as AI stock trends could attract foreign investors to Indian markets. Read for stock picks.
As 2025 ends, learn key investment lessons for 2026. From discipline to gold's rally, maximize your portfolio. Reassess your financial goals now!
Learn crucial bond investment risks and safety measures from IndiaBonds expert. Discover how to protect your portfolio with proper due diligence and strategic diversification.
Learn how passive ETFs can create a winning portfolio strategy. Different sectors perform well at various times based on macroeconomic factors. Discover sector rotation investing.
Discover how Bajaj Finserv Banking and Financial Services Fund offers diversified exposure to India's growing BFSI sector. Learn about its investment strategy and benefits.
Warren Buffett's Berkshire Hathaway makes major $4.9 billion investment in Google parent Alphabet while reducing stakes in Apple and Bank of America ahead of CEO transition.
Indian rupee stabilizes above record low with RBI intervention. Foreign investors sold $1 billion in November. Learn how global factors impact INR.