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.
Sebi proposes a comprehensive FPI framework revamp to streamline registrations and ease compliance for global investors. Public comments invited until December 26.
The Indian rupee depreciated by 16 paise to 90.05 against the US dollar following the RBI's monetary policy decision. Forex traders warn of further pressure until FPI inflows rebound. Read the full analysis.
Gold's bull run is set to continue into 2026, with Ventura forecasting a target of $4,600-$4,800. Driven by central bank buying and US deficits, the rally is far from over. Learn why Indian investors should consider a 5-10% portfolio allocation.
The Indian rupee could weaken to around ₹91.50 per US dollar in the next quarter, say analysts. Key factors include heavy foreign outflows, a widening trade deficit, and bearish technical charts. Read the full analysis.
The Reserve Bank of India is likely to permit a gradual rupee depreciation as foreign investment slows. Learn how this impacts India's economy and your finances.
Gold soared 30% in 2024, but chasing performance is a trap. Learn why a diversified, multi-asset portfolio is essential for navigating 2025's volatile markets and achieving long-term wealth.
Indian rupee plunges 28 paise to a historic low of 90.43 against the US dollar. Foreign investor sell-off and US-India trade deal uncertainty drive the fall. Get the full analysis.
Indian rupee plunges to a historic low of 90.43 against the US dollar. Explore the causes, economic impact, and why the government remains optimistic despite the rapid depreciation.
As the rupee breaches 90 against the dollar, experts argue the RBI should focus on inflation, not currency defense. A weaker rupee can boost exports amid a widening trade deficit. Read the analysis.
The Indian rupee breached 90 against the US dollar, becoming 2025's worst-performing major currency. Explore the charts and reasons behind the slide driven by US trade tensions and foreign outflows.
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.
India's stock benchmarks are set to open higher on Dec 2 after a pause near record highs. Key factors include FPI outflows, RBI policy, and strong domestic buying. Read more for analysis.
India's Foreign Direct Investment (FDI) jumped 18% to $35.18 billion in April-September 2025. US inflows doubled, signaling strong global confidence in the Indian economy. Read the full analysis.
Multi-asset allocation funds offer diversification across equity, debt, and gold, helping Indian investors navigate market volatility. Discover their compelling benefits for long-term wealth creation.
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.
Patel Engineering share price surged over 16% after securing ₹798.19 crore coal project contracts in Chhattisgarh, boosting long-term revenue visibility for this multibagger small-cap stock.
Discover why Indian investors turn to gold and silver during stock market volatility. Learn how these metals provide portfolio protection and wealth preservation strategies.
India's Nifty 50 index is set to hit a record high after 14 months, fueled by expectations of US and domestic rate cuts. Discover the factors driving this market rally and what it means for investors.
Ironwood appoints Balaji Raghavan to lead affordable housing portfolio, strengthening their commitment to accessible real estate development across India.
Comprehensive analysis of India-US economic indicators including currency movements, trade trends, and employment data. Discover how these shifts impact portfolio positioning for coming quarters.
Indian stock markets recovered from early losses on Wednesday despite foreign investor pressure. Nifty found support at 25,800, with analysts predicting 26,450 targets. Get expert stock recommendations.
Learn asset allocation wisdom from Mahabharata's Arjuna. Discover why compartmentalizing investments for goals reduces efficiency and how fungible money strategy wins.
Sebi proposes changes to basic service demat accounts to exclude worthless securities from portfolio valuation, making BSDA more accessible and affordable for small investors.
Private equity firms are using record dividend recapitalizations to pay investors as IPOs and M&A stall. Discover how this $28.7 billion trend impacts portfolios.
Indian mutual fund industry compiling decade-long portfolio churn data to help Sebi evaluate proposed brokerage fee caps. Analysis may reshape MF cost structure and investor payouts.
In a major political development, BJP secures Bihar Home Ministry for first time under Nitish Kumar's rule while JD(U) gets Finance portfolio. Analysis of power dynamics.
In a major Bihar cabinet reshuffle, Samrat Choudhary replaces CM Nitish Kumar as Home Minister. 26 ministers sworn in with BJP dominating allocation. What this means for state politics.
Master long-term cryptocurrency investing with proven strategies for Indian investors. Learn risk management, portfolio diversification, and secure trading practices.
Indian lenders face rising delinquencies in micro loans against property as stress spreads from unsecured microfinance. NBFCs report worsening asset quality with 90+ day delays increasing.