Expert's 75-10-15 Plan to Make ₹1 Crore in 10 Years
An investment expert outlines a strategic 75-10-15 portfolio mix of equity, debt, and gold to achieve ₹1 crore in a decade. Learn about the required SIP, tax implications, and disciplined approach.
An investment expert outlines a strategic 75-10-15 portfolio mix of equity, debt, and gold to achieve ₹1 crore in a decade. Learn about the required SIP, tax implications, and disciplined approach.
PC Jeweller shares rebound 12% this week. Company posts 17.3% profit rise in Q2, plans 1,000 franchise outlets via UP's CM-YUVA portal. Read for key financials and analysis.
A strategy once reserved for the ultra-rich, lifecycle investing using borrowed money is now accessible to retail investors in India, raising both opportunities and regulatory concerns.
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India's middle class faces a growing debt crisis, with 5-10% of households in a trap. Driven by easy credit and social comparisons, the dream of upward mobility is turning risky. Read more.
Telangana and Andhra Pradesh have become India's most aggressive borrowers in 2025, overshooting RBI limits by 190% and 122% respectively. Economists warn of severe long-term fiscal stress. Read the full analysis.
Russian investments in Indian equities tripled to $1.1 billion in FY25, the highest in four years, amid shifting global capital flows. Discover the key drivers and market impact.
A Bank of Baroda report reveals only 26% of fresh IPO equity is for capital expenditure, with most funds used for debt repayment and other purposes. Discover the key trends shaping India's booming IPO market.
VTB, the largest creditor of Russian Railways, reveals banks are ready to restructure its 4 trillion rouble debt, but only if the central bank does not hike reserve requirements. Debt-to-equity conversion is off the table. Explore the financial challenges
Waterfield Advisors expert reveals FIIs are returning as Indian market valuations stabilize. Discover why FMCG, consumer discretionary and building materials are poised for growth.
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Sebi announces REIT investments by mutual funds will be treated as equity instruments from January 2026, boosting market participation. Learn what this means for investors.
SEBI's new circular reclassifies mutual fund investments in REITs as equity instruments from Jan 1, 2026. Learn how this impacts debt funds and AMCs.
Altice International restructures Portugal & Caribbean units to raise €750M debt, sparking bond price drops. Strategic review underway amid 12.1% earnings decline.
Emerging market currencies took a breather on Thursday amid thin US holiday trading. Latin American currencies led declines while Asian markets showed mixed signals. Read analysis.
Debt-ridden IL&FS group has repaid ₹48,463 crore to creditors, achieving 80% of its ₹61,000 crore debt resolution target. Read the latest updates on NCLAT proceedings.
India's private credit market is booming, with AUM projected to double to $60-70 billion by 2028. Discover how this asset class offers stable income and secured returns for HNIs and family offices.
Hong Kong's Gaw Capital races to extend a $110 million property-backed loan, a sign of deepening stress in China's real estate sector. Discover the implications for investors.
Discover how Category III Alternative Investment Funds are revolutionizing India's investment scene with sophisticated strategies for wealth creation. Learn about their unique advantages today!
Discover why Bajaj Finserv BFSI Fund offers compelling investment opportunity with strong fundamentals and attractive valuations in banking sector.
Carrying ₹60,000 credit card debt can hurt your credit score due to high utilization. Learn how personal loans for debt consolidation affect your credit health and smart repayment strategies.
Discover the 3 major risks in debt mutual funds that Indian investors often overlook. Learn how to protect your investments from interest rate, credit, and concentration risks with expert guidance.
RBI data reveals India's debt is growing twice as fast as assets. Per capita debt now stands at ₹4.8 lakh. Is young India heading for a debt trap? Read more.
GMR Airports plans to refinance Hyderabad airport's foreign currency loans with ₹2,150 crore rupee-denominated NCDs to reduce borrowing costs and currency risk. Read more about their debt strategy.
Discover the crucial factors to consider before investing in hybrid mutual funds. Learn about asset allocation, risk assessment, and investment goals for better returns.
Goldman Sachs and Deutsche Bank forced to absorb $500M after failed loan syndication for Allwyn's PrizePicks acquisition. Discover how credit markets turned cautious.
Foreign portfolio investment in Indian corporate bonds reaches $1.5 billion in Q1 2024. Explore key trends, regulatory changes, and future outlook for investors.
Discover what liquid funds are, their purpose in mutual fund portfolios, benefits for short-term investing, and how they differ from savings accounts. Learn more!
Nomura Holdings investigates potential profit inflation in its India fixed-income business. The probe focuses on Strips valuation practices in India's $1.3 trillion sovereign debt market. Read details.