Morgan Stanley: Indian Stocks Set for More Gains on Earnings
Morgan Stanley predicts Indian equities will continue rising, driven by strong earnings growth and supportive policies. Key sectors like financials and industrials lead the charge.
Morgan Stanley predicts Indian equities will continue rising, driven by strong earnings growth and supportive policies. Key sectors like financials and industrials lead the charge.
After a turbulent 2025, India's markets are poised for a rebound. Experts reveal where to invest ₹10 lakh, highlighting sectors like consumption, infra, and data-driven funds. Master your portfolio strategy now.
Arunachal, Nagaland, J&K see explosive growth in stock market investors, driven by digital access & IPOs. National investor base crosses 125 million. Discover the new map of India's equity culture.
India's new investment announcements hit Rs 26.62 lakh crore in Apr-Dec FY26, led by electricity & chemicals. Andhra Pradesh, Odisha, Maharashtra attract 50% of proposals. Explore the sectoral & state-wise breakdown.
A new report predicts a corporate earnings-led revival for Indian equity markets by 2026. Key drivers include strong GDP growth and robust domestic flows. Read the full analysis.
A new report predicts a strong comeback for Indian equities in 2026, fueled by corporate earnings recovery, stable macros, and returning foreign investors. Discover the key sectors set to benefit.
India's private equity landscape evolves as enterprise tech and deeptech lead the next wave. Deal volume rises but value dips, signaling investor selectivity. Discover the key trends shaping 2026 investments.
Planning to invest Rs 10 lakh in 2026? Experts advise a 40% equity allocation, diversification with hybrid funds, and holding gold. Learn the optimal portfolio strategy for the new year.
Anubhav Mukherjee of Prescient Capital forecasts a non-broad-based stock rally in 2026 due to overvaluations. He expects double-digit earnings growth for Nifty indices from Q3 FY26. Read his sector picks and investment strategy.
Kotak Investment Banking's Sourav Mallik reveals Japanese firms are long-term players in India's booming M&A market, with domestic groups also driving record deal volumes in 2026.
Mark Zuckerberg reveals Facebook's secret weapon was its data-driven Growth Team, not big ad budgets. Discover how product features like 'People You May Know' drove virality. Read more!
Most Indian investors chase high returns, ignoring risk. This article explains the true nature of risk in equity & debt funds, how to manage it, and why your behavior is the biggest threat to your portfolio.
Macquarie Asset Management commits an additional £245 million to UK's Southern Water, finalising a year-long rescue deal to prevent a credit downgrade and upgrade infrastructure. Read the full story.
UBS report affirms India's robust structural growth driven by demographics, digitalization, and policy reforms. Discover the key drivers and investment themes for the future.
A surge in acquisitions is consolidating the US wealth management sector. Driven by private equity and a post-pandemic wealth boom, firms are racing to capture affluent clients. Explore the key deals and trends.
Amid gold's rally, Samir Arora of Helios Capital presents data showing Indian equities' superior long-term returns. Nifty 50 delivered 11.78% CAGR in USD since 1998, beating gold. Discover the full analysis.
Private equity investments in Indian real estate fell 29% this year to $3.5 billion, as per Knight Frank India. Read the full analysis of the cautious investor sentiment and sectoral trends.
Knight Frank India reports office sector attracted over $2 billion in PE investments in 2025, anchoring 58% of total real estate inflows. Discover the sector trends and 2026 outlook.
Foreign investors pulled a historic ₹1.6 lakh crore from Indian stocks in 2025 due to global volatility and high valuations. Analysts see a potential 2026 rebound. Read the full analysis.
Flexi-cap mutual funds attract 28.7% of equity inflows from May-Nov 2025. Experts debate if their flexibility beats multi-cap's discipline for true diversification. Read analysis.
India's foreign direct investment is poised for significant growth in 2026, driven by strong economic fundamentals and major project announcements. Discover the key sectors and global outlook.
A new report forecasts India's economic growth will become more balanced across sectors by 2026, driven by consumption and investment. Read the full analysis.
Goldman Sachs forecasts continued growth for global equities in 2026, though at a slower pace than 2025. Key drivers include earnings and policy shifts. Read the full analysis.
While India's power transmission sector rides a wave of strong demand and government investment, four key stocks have fallen sharply from peaks. Discover the details and future outlook.
Funds advised by Convergent Finance and Samara Capital are set to acquire an additional 4.99% stake in Sundrop Brands, increasing their total holding. This strategic move signals strong confidence in the packaged foods company's growth trajectory.
Discover three high-quality value stocks - ONGC, PFC, and GSFC - that could offer upside in uncertain markets. Learn their key metrics and long-term potential.
KPMG's Q3'25 report reveals India's surging IPO market is now a primary exit path for PE investors, driven by strong stock performance and domestic investor appetite. Discover the trends shaping India's investment landscape.
Gujarat climbs to #2 in equity mutual fund assets, fueled by SIP adoption in semi-urban & rural areas. AUM hits Rs 3.66 lakh crore, beating Karnataka. Discover the shift in investor mindset.
Former Punjab IG Amar Singh Chahal fights for life after a self-inflicted gunshot. A 12-page note reveals he was cheated of Rs 8.1 crore in a sophisticated online investment fraud. Read the shocking details.
KPMG report reveals a slowdown in India's PE investments in 2025 due to global headwinds, but strong fundamentals ensure a robust long-term outlook. Read the full analysis.