Stock Markets Brace for Pre-Budget Volatility Surge
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.
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 $45 billion worth of IPO lock-in expiries are set to hit Indian markets in coming months, potentially triggering volatility. Nuvama warns of pressure on specific stocks. Read the full analysis.
Chasing market timing is like building the Maginot Line. Data shows perfect execution yields only ~1% extra CAGR. Learn why asset allocation and discipline are superior strategies for Indian investors.
Indian rupee faces heightened volatility this week due to Venezuela crisis & global risk-off sentiment. Bankers see it testing 90.50-91/$ 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.
Axis Securities maintains a bullish outlook on Indian equities, setting a Nifty target of 28,100 for December 2026. The brokerage recommends 15 stocks, including HDFC Bank and SBI, for strong returns.
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.
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.
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.
KPMG's Q3'25 report reveals India's surging IPO market is now a primary exit path for PE investors, driven by strong stock performance and domestic investor appetite. Discover the trends shaping India's investment landscape.
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.
KPMG report reveals a slowdown in India's PE investments in 2025 due to global headwinds, but strong fundamentals ensure a robust long-term outlook. 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.
RRP Semiconductor's stock skyrocketed over 55,000% despite no operational business, prompting BSE to restrict trading to once a week with a 1% price band. Read about the regulatory concerns.
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'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.
Indian equity benchmarks halted a four-day decline, with the Sensex and Nifty 50 closing higher. Mid-cap and small-cap indices jumped over 1%. Discover the 10 key market highlights.
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'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.
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.
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.
A BSE smallcap stock continues its winning streak for the sixth consecutive day, showcasing resilience despite overall market volatility. Discover the stock's performance and key details.
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.
Indian stock markets opened lower on Tuesday, with Sensex near 85,500 and Nifty50 above 26,150. Experts view this as consolidation after record highs. Read for key insights and market outlook.
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.
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.