News

According to commodity market experts, gold prices are expected to dominate the list of risky assets. The bears may deliver ...
A comprehensive recap of the week ending July 25, 2025, highlighting the biggest market movers, top news events, and key ...
Rajesh Palviya of Axis Securities anticipates further market weakness, especially if Nifty stays below 25,000. He suggests ...
The Nifty 50 fell over 200 points to close at 24,846.25. The broader market was hit harder, with the Nifty Midcap 100 ...
Markets diverged sharply on Friday as U.S. indices edged higher while India’s stock market saw a steep selloff. Dow futures ...
Asian markets traded lower, with Japan's Nikkei 225, Shanghai Composite and Hong Kong's Hang Seng all in the red.
The factor fund launch spree by mutual funds (MFs) is moving from the passive to the active space. Two new fund offerings ...
Markets open weak as Sensex and Nifty decline, facing headwinds from FII outflows, weak earnings, and trade uncertainties.
But what matters in the investment is the returns. Thus, it's better to look at the historical returns for these asset classes in the long-run, over 10 or 20 years.
“Market sentiment has been recovering steadily since March 2025,” said Siddharth Vora, Head of Quant Investment Strategies & Fund Manager at PL Asset Management. “The Nifty500 Equal Weight vs.
Discover the latest stock additions to NSE and BSE indices, focusing on value, momentum, quality, low volatility, and alpha ...
The July 2025 edition of FundsIndia Wealth Conversations strongly supports this, demonstrating how long-term equity investing ...