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:
In the second week of June 2025, the Bombay Stock Exchange (BSE) witnessed a sharp downturn in its derivatives segment performance. According to data sourced from IIFL, several key metrics have reached multi-month lows, highlighting a significant drop in investor participation and exchange competitiveness.
Tata Motors stock fell 6% after JLR's revised FY26 margin guidance and weak domestic sales outlook triggered concern among investors.
An analytical look into the Iranian missile strike on Haifa Port and its implications for Adani Ports, highlighting the company's global presence, revenue structure, and resilience.
The intensifying conflict between Israel and Iran has triggered a sharp rise in global crude oil prices, sparking concerns for oil-dependent nations like India. This blog explores how the geopolitical tensions are influencing Brent crude rates, the potential impact on Indian oil companies like IOC, BPCL, and HPCL, and whether Indian consumers should brace for a hike in petrol and diesel prices.
Gold has touched an all-time high in India, crossing ₹1 lakh per 10 grams on the MCX. What’s causing this surge, and will it continue? Let’s decode the factors behind this historic rally and what lies ahead for gold prices.
Vodafone Idea’s future remains uncertain despite government support. Will it survive or collapse? What does this mean for telecom tariffs, employment, and investors? Here’s a detailed analysis.
As Dalal Street steps into a crucial trading week, investors brace for a heavy dose of economic data, central bank verdicts, corporate actions, and global developments. From India’s WPI and forex reserves to the U.S. Fed rate decision and China’s industrial numbers, the coming days are packed with events that could stir market volatility and influence investor sentiment.
Iran Israel War Intensified:Israel strikes underground missile facility in Iran, escalating tensions. Facility linked to Iranian propaganda videos, air defenses activated across multiple Iranian provinces. U.S. and U.K. shift military assets as both nations brace for further escalation.
The recent escalation in geopolitical tensions between Iran and Israel has rattled global markets, leading to a spike in crude oil prices and supply chain disruptions. However, some sectors such as gold, gas, shipping, oil exploration, and defense may stand to gain from the ongoing crisis.
Mukesh Ambani's Masterstroke:Mukesh Ambani's strategic investment in Asian Paints during the 2008 crisis has turned into one of the most iconic wealth-creation stories in Indian business history. Learn how this 23x return deal teaches timeless lessons about value investing and market patience.
Mutual Funds Buys and Sell Data Of May 2025: In May 2025, domestic mutual funds made bold moves in largecap, midcap, and smallcap segments. This article breaks down the top buys and sells—and explains why tracking mutual fund activity can give retail investors a smart edge.
Mutual Funds Buys and Sell Data Of May 2025: In May 2025, domestic mutual funds made bold moves in largecap, midcap, and smallcap segments. This article breaks down the top buys and sells—and explains why tracking mutual fund activity can give retail investors a smart edge.