Category : Search result: whiskey portfolio diversification


MEIL Energy buys 250 MW plant in Tamil Nadu

Hyderabad-based MEIL Energy strengthens its power generation footprint with strategic acquisition of 250 MW Neyveli power plant, marking significant expansion in renewable energy sector.

Gold ETFs Soar 53% in 2025: Profit Booking Time?

Gold ETFs deliver spectacular 53% returns in 2025, sparking debate among investors about profit booking and portfolio rebalancing strategies. Expert insights reveal whether it's time to cash in or hold tight.

Indian refiners tap spot markets to replace Russian oil

India's leading refiners Indian Oil and MRPL are actively diversifying oil sources, turning to international spot markets as Russian supplies face payment and shipping challenges. Industry sources reveal strategic moves to secure alternative crude.

Indian Wealth Managers Bet on US Small-Cap Stocks

Discover how Indian wealth managers are strategically allocating to US small-cap stocks to enhance portfolio diversification and tap into American economic growth opportunities beyond traditional investments.

Indian Stock Markets Tumble on Foreign Fund Outflows

Indian equity benchmarks Sensex and Nifty witnessed significant declines in early trading sessions as foreign portfolio investors continued their selling spree, coupled with rising global market volatility and crude oil price surges.

Stock Screeners: Shortcut to Long-Term Gains?

Discover how stock screening tools can transform your investment strategy and potentially accelerate your journey to financial freedom. Learn the smart way to use these powerful filters.

Goyal Charts India's Export Strategy with FTAs

Commerce Minister Piyush Goyal unveils India's aggressive export push through new FTAs and market diversification in high-level meetings with export councils and industry leaders.

November NFO Alert: 5 New Mutual Funds Open

Discover five exciting new mutual fund offers (NFOs) launching in November 2023. Get complete details on these investment opportunities across equity, fixed maturity, and other categories to diversify your portfolio.

CPP Investments India Portfolio Hits $21 Billion

Canada's CPP Investments reveals massive expansion in Indian holdings, with portfolio growing to $21 billion through strategic investments in infrastructure, renewable energy, and technology sectors.

Bond Investing Guide: 7 Due Diligence Steps

Learn how to conduct thorough due diligence on bonds before investing. Our comprehensive guide covers credit ratings, interest rate risk, liquidity, and key metrics to make informed bond investment decisions.

NBFCs Sell Unsecured Loans to Cut Risk

Indian non-banking financial companies are strategically selling unsecured loan portfolios to banks and other investors amid regulatory scrutiny and rising risk concerns. Discover how this trend is reshaping lending practices.

India's US Oil Imports Surge Amid Trade Thaw

India's crude oil imports from the United States surge to highest levels since 2022 as trade tensions ease and New Delhi strategically reduces dependence on Russian supplies.

India's Economy Booms Despite US Tariff Tensions

India's economy demonstrates remarkable resilience as trade diversification and robust domestic demand fuel strong growth projections. Government report reveals strategic pivot in global trade partnerships amid rising US tariff pressures.

Fineotex Chemical Announces 1:1 Bonus Shares

Fineotex Chemical, a star in Ashish Kacholia's portfolio, announces 1:1 bonus shares and robust Q4 results. Discover why this specialty chemical stock is capturing market attention and what investors should watch.

Global Markets Outperform US Stocks in 2024 Rally

Discover why international markets from Europe to Japan are outperforming the S&P 500, and what this global rally means for Indian investors seeking diversification beyond US stocks.

AI Stock Bubble: How to Invest Safely

Worried about the AI investment frenzy? Learn proven strategies to stay invested in artificial intelligence stocks while protecting your portfolio from potential market corrections.

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