Nifty 50 Target 30,000 by 2026: Report
A new report predicts the Nifty 50 index could surge to 30,000 by 2026, driven by a bull market correction and strong technical indicators. Discover the key factors and sectoral bets for this projected growth.
A new report predicts the Nifty 50 index could surge to 30,000 by 2026, driven by a bull market correction and strong technical indicators. Discover the key factors and sectoral bets for this projected growth.
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.
From Trump's tariffs to Powell's steadfastness and India's rupee woes, the Bard's words perfectly capture the economic narratives of 2025. Discover the parallels.
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.
Indian markets may open flat to positive amid stable global cues. GIFT Nifty hints at calm start. Expert Vaishali Parekh sees Nifty heading to 26,450, shares 3 intraday stock picks. Read for key levels and strategy.
Indian stock market benchmarks Sensex and Nifty 50 are set to extend gains for a third consecutive session on Tuesday, December 23, following positive global trends. Analysts advise a buy-on-dips strategy with key support and resistance levels identified.
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.
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.
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.
Sanjeev Sanyal says India's rupee finds its own level since the 1990s, with RBI using reserves to check excessive swings. Read key insights from the India Economic Conclave 2025.
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.
Indian stock indices set for a muted opening as foreign fund outflows and a weak rupee weigh on sentiment. Analysts see Nifty range-bound, with key levels and stock picks from Motilal Oswal's Chandan Taparia.
RBI plans ₹1.5 lakh crore liquidity infusion via bonds & forex swaps to aid rate cut transmission. Analysts warn more may be needed in Q4 if rupee pressure persists. Read the full analysis.
RBI Governor Sanjay Malhotra details the rationale behind the 25 bps repo rate cut, citing low inflation and robust domestic demand. He discusses growth moderation, rupee volatility, and the path for deposit rates. Read the full analysis.
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.
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.
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 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 remain key growth focus in 2025 with massive infrastructure investments. Experts analyze bubble risks vs long-term potential. Discover which companies lead the revolution.
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.
Indian rupee slumped to historic 89.60 against USD. Explore RBI's stance, trade deal impact, and whether a weaker currency benefits India's exports. Read expert analysis.
Investors watch Black Friday for consumer health signals as stock volatility and delayed data create uncertainty. Will holiday spending defy economic headwinds?
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.