Stock Markets Fall for 3rd Day, Sensex Drops 314 Points
Indian stock markets continue downward trend as foreign investors pull out funds. Sensex drops nearly 314 points, Nifty falls below 22,400. Market analysis and expert insights.
Indian stock markets continue downward trend as foreign investors pull out funds. Sensex drops nearly 314 points, Nifty falls below 22,400. Market analysis and expert insights.
Indian rupee depreciates 4.4% since April despite strong economy. FPI outflows hit $16.4B in 2025, RBI's intervention capacity limited. Experts warn 90-92 levels possible without trade deal.
Veteran investor Ramesh Damani advises staying invested in Indian markets, highlights strong domestic liquidity, and explains why AI bubble fears are overblown. Read his market insights.
Indian stock markets face crucial week with Q2 GDP data, FII outflows, and potential India-US trade deal. Key triggers that could move Sensex and Nifty analyzed.
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.
India's 2025 IPO market shines with 93 listings. Aditya Infotech, Stallion Fluorochemicals & Ather Energy became multibaggers. Discover key trends & FPI activity. Invest wisely!
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.
Indian stock markets opened lower on November 19, 2025, with Sensex falling 135.8 points and Nifty dropping 53.85 points. Global market weakness and foreign fund outflows impacted trading. Read full analysis.
Morgan Stanley forecasts Indian stock market recovery by 2026 with Sensex targets of 95,000-107,000. Policy pivots and reflation push to drive growth. Read analysis.
Foreign portfolio investment in Indian corporate bonds reaches $1.5 billion in Q1 2024. Explore key trends, regulatory changes, and future outlook for investors.
Indian rupee stabilizes above record low with RBI intervention. Foreign investors sold $1 billion in November. Learn how global factors impact INR.
Foreign investors reduce Indian equity holdings to 15-year low after massive sell-off. Domestic mutual funds hit record ownership while FPIs exit ₹2 lakh crore. Analysis of market trends.
Foreign investors pump $1.5 billion into Indian banking stocks in October 2025. Discover why lenders are escaping US tariff impact and attracting massive investments.
Discover how psychological traps during market volatility impact Indian investors in 2025. Learn to avoid common mistakes and make informed investment decisions for long-term wealth creation.
ICICI Prudential's November 2025 report reveals improving Indian stock market outlook with policy reforms driving growth. Corporate earnings gain momentum amid moderated valuations.
Indian equity markets continued their downward spiral for the third consecutive session as foreign institutional investors pulled out funds and global markets remained weak. The Sensex and Nifty both closed lower, with banking and IT stocks bearing the br
Indian rupee slips 2 paise against US dollar, settling at 88.65. Explore key factors driving currency movement including foreign fund outflows, crude oil prices, and domestic equity trends.
Indian stock markets witnessed significant selling pressure as foreign portfolio investors continued their exit amid weak global cues and rising US Treasury yields. Discover what's driving the market downturn.
Sensex and Nifty continue downward spiral amid foreign fund withdrawals and global uncertainty. Banking and IT stocks lead declines as market volatility spikes.
Indian stock markets witnessed heavy selling pressure as foreign portfolio investors turned net sellers and global cues remained negative. The BSE Sensex dropped 519 points while Nifty fell below 22,300.
Foreign portfolio investors unleash massive capital into India's booming primary market as IPO frenzy hits new highs. Discover what's driving this unprecedented inflow and whether the rally can sustain.
From Gift Nifty surge to robust FPI inflows and global trade developments - discover the powerful forces shaping India's stock market momentum as trading week begins.
India's Fully Accessible Route for foreign debt investments fails to attract expected capital inflows despite relaxed RBI norms. Experts analyze the global and domestic factors behind the tepid response.
Foreign portfolio investors make massive comeback to Indian markets after 3-month hiatus, injecting Rs 13,000 crore in June. Discover what's driving this reversal and whether the momentum will continue.
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.
Foreign Portfolio Investors are dramatically changing tactics, unwinding stock futures positions while aggressively buying cash market shares. Discover why this strategic pivot is happening now and what it means for Nifty and Sensex movement.
Post-Diwali India faces severe air quality crisis while festival spending signals strong economic recovery. FPIs return amid positive market sentiment.
Indian debt mutual funds witnessed massive outflows exceeding ₹1 lakh crore in September, driven primarily by corporate withdrawals from liquid and money market categories ahead of quarterly advance tax payments.
Indian equity markets hit unprecedented levels as FPIs reverse their bearish stance, pouring billions into Indian stocks. Discover what's driving this massive foreign inflow and whether the rally can sustain.
Kotak Institutional Equities reports India's corporate earnings downgrade cycle is ending. Sanjeev Prasad highlights improving fundamentals, FPI interest, and economic growth drivers set to boost India Inc performance.