Category : Search result: debt market investment


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.

PC Jeweller stock jumps 12%, Q2 profit up 17.3%

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.

Private Credit AIFs: India's Steady Return Haven

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.

Telangana, Andhra Pradesh overshoot RBI borrowing limits

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.

BoB Study: Just 25% of IPO Funds Go to Capex

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.

Russian Railways Debt Restructuring Talks: VTB's Key Role

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

How Category III AIFs Reshape Indian Investing

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!

Debt Fund Risks: 3 Hidden Dangers for Investors

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.

Nomura Investigates India Fixed-Income Business

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.

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