I am Niranjan Ghatule, a B.Tech graduate in Electrical Engineering with a strong passion for the financial markets. With over 5 years of hands-on experience in the stock market, I have developed deep expertise in equity research, market analysis, and trading strategies.
Posts by Niranjan Ghatule:
BlackRock CEO Larry Fink has issued a stark warning about the US dollar's future as the global reserve currency, citing Bitcoin as a potential alternative. As concerns over inflation, geopolitical tensions, and fiscal policies grow, Bitcoin's decentralized nature and fixed supply make it an attractive hedge against fiat instability.
This blog post provides a comprehensive overview of the key financial changes taking effect in India from April 1, 2025. It covers important updates in taxation, banking regulations, credit card reward programs, and UPI security measures.
This blog article covers the ongoing global protests against Elon Musk and Tesla due to his involvement with the U.S. government's cost-cutting initiatives. It discusses the controversy surrounding the Department of Government Efficiency (DOGE), the economic and political consequences, and how Tesla's business and stock market stability are being affected.
This article provides an in-depth analysis of electric two-wheeler sales in March, highlighting the top manufacturers, their sales figures, and market shares. It explores the growing demand for electric vehicles in India, key industry trends, and the competitive landscape.
As the April 2nd deadline for reciprocal tariffs approaches, President Donald Trump’s administration is reportedly considering broader and higher tariffs on imports. This move, which could see an across-the-board tariff hike of up to 20%, is expected to spark global reactions.
This article provides an in-depth analysis of India's high-income earners, highlighting the number of individuals earning more than ₹1 crore across different states. Using data from IncomeTaxIndia, it explores wealth distribution, economic factors driving high earnings, and the implications of income disparity.
Stay ahead in the financial markets with our latest market cues update. This article highlights key economic indicators, corporate actions, and global events from Japan, India, the U.S., Europe, and China that could impact investment decisions
April 2nd, 2025, has been dubbed "Liberation Day" by President Donald Trump, marking a significant escalation in the ongoing trade war. With over $1.5 trillion in imports set to be impacted by the end of April, the global trade landscape is about to experience unprecedented shifts.
In a move that could disrupt the global pharmaceutical supply chain, the Trump administration is reportedly considering imposing tariffs on pharmaceutical imports, including generic drugs from India. If implemented, such tariffs could significantly impact Indian pharmaceutical companies, many of which rely on the U.S. as their largest market.
The blog explores the intersection of politics, business, and public reaction, focusing on Elon Musk's involvement in the U.S. government and its ripple effects on Tesla and global markets. It highlights how Musk’s cost-cutting measures, as part of the Department of Government Efficiency (DOGE), have triggered mass protests worldwide, leading to economic and corporate uncertainty.
This week is shaping up to be the most eventful and potentially volatile period for U.S. financial markets in 2025. A combination of economic data releases and political events could significantly impact investor sentiment, market direction, and Federal Reserve policy expectations. Here’s a detailed breakdown of the key events to watch:
Promoter buying is an important indicator for investors, as it signals confidence in a company’s future growth and stability. When promoters—who have insider knowledge of the business—buy shares from the open market, it suggests they believe the stock is undervalued or poised for long-term growth.