RBI's ₹1.5 Lakh Crore Liquidity Boost May Need Q4 Top-Up
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 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.
South Korea's retail investors, who bought a record $31B in US stocks, are furious after being blamed for the won's slide. Officials tighten rules as the currency nears a 16-year low.
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.
Asian stock markets mostly advanced Tuesday, lifted by expectations of US interest rate cuts and a slight easing in Japanese bond yield concerns. Key indices in Hong Kong, Japan, and South Korea posted gains.
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.
Asian markets traded in a narrow range, capping a robust weekly gain fueled by expectations of a US Federal Reserve rate cut. Key indices like Nikkei and Kospi showed mixed trends. Read more for a detailed 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.
South Korean shares rose over 1%, led by chipmakers, after the Bank of Korea upgraded its 2024 and 2025 growth forecasts. The won strengthened against the dollar. Explore the market details.
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.
South Korean shares closed marginally higher after trimming early gains as persistent worries over the weak won overshadowed positive global cues. KOSPI rose 0.30% to 3,857.78 points.
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.
South Korea's Kospi surges 61% in 2025, becoming world's best-performing index. AI boom and corporate reforms drive rally, but concerns over retail leverage and valuations emerge. Read analysis.
Indian stock markets snapped a 2-day rally, with Sensex falling 401 points. HDFC Bank, ICICI Bank led declines amid weak global cues. Expert warns of volatility and advises caution.
Viraj Gandhi of SAMCO Mutual Fund explains why smallcaps remain compelling long-term investments despite recent volatility. Discover insights on market outlook and new momentum-based fund.
South Korean shares soared over 2% with chipmakers Samsung and SK Hynix leading gains after Nvidia's strong earnings. Foreign investors bought shares worth 271.5 billion won.
Bitcoin prices plunged to $92,971, wiping out 30% of 2024 gains. Experts analyze Fed rate fears, Trump tariffs, and recovery signals. Read crypto market analysis.
South Korean shares surged with KOSPI gaining 1.57% as foreign investors turned net buyers. Samsung and SK Hynix led gains following domestic investment pledges. Read full market analysis.
South Korean shares fell over 2% on Friday as chipmakers followed Wall Street's AI stock slump. The won strengthened amid currency stabilization measures. Read market analysis.
Record 66.91% voter turnout in Bihar elections 2025 may impact NDA government at Centre, potentially causing 5-7% Nifty fall. Read the full analysis.
South Korea's Kospi volatility index surges to April levels as the market's 71% rally raises investor anxiety. Chip stocks lead gains while experts warn of excessive expectations.
Gold ETFs witness third straight month of robust inflows, crossing ₹1 lakh crore AUM. Investors flock to gold as safe haven amid geopolitical risks and market volatility. Discover the trends shaping India's gold investment landscape.
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.
Discover the surprising reasons why Indian markets are struggling to reach new peaks despite robust economic growth and controlled inflation. Expert analysis reveals the hidden factors holding back the bull run.
Asian stock markets witnessed significant declines as Nikkei, Kospi, and Hang Seng dropped up to 2% amid global selloff triggered by US market weakness and economic concerns.