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:
BSNL launches two new prepaid plans at ₹599 and ₹299 with high daily data limits and extended validity, offering better value than Jio and Airtel. Full plan details and comparison included.
This article covers the significant developments in the Indian paint industry, focusing on the anticipated acquisition of AkzoNobel India by JSW Paints. It explores the potential impact of this deal on market competition, market share shifts, and the strategic moves by major players like Birla Opus and Asian Paints.
India has officially overtaken Japan to become the world’s fourth-largest economy. In this article, we explore the reasons behind this growth, key insights from billionaire investor Mark Mobius, and what lies ahead for India’s economic future.
In this blog, we analyze the views of Anand Rathi Wealth's Feroze Azeez on India's Q4 earnings season and the role of FIIs in shaping market sentiment. Get expert insights on what the numbers mean for Nifty's trajectory and how different types of FIIs are impacting volatility and strategy
What happens if Apple shifts iPhone manufacturing to the USA under pressure from President Trump’s 25% tariff threat? Explore the economic realities, cost implications, and how India’s rise as the 4th largest economy changes the global game.
An early monsoon arrival has set new records in India, impacting rural demand and commodity markets. This article explores the ripple effects on gold, crude oil, and base metals, while also examining global economic triggers such as EU tariffs and OPEC+ decisions.
An in-depth analysis of why Japan and Germany, despite having drastically different interest rates and debt profiles, are offering nearly identical 30-year government bond yields. This article explores what this unusual convergence might signal about the future of global bond markets.
This article provides a comprehensive explanation of the Graded Surveillance Measure (GSM) in the Indian stock market. It covers the purpose of GSM, how it protects retail investors, differences from ASM, the criteria for GSM listing, and the restrictions imposed on GSM-listed stocks.
Japan is experiencing a rare case of stagflation, with rice prices surging nearly 100% year-over-year and energy costs climbing due to subsidy cuts. Meanwhile, inflation remains above 3% and the economy shrank in Q1 2025, marking the return of economic stagnation alongside rising prices.
German Finance Minister Lars Klingbeil calls for renewed discussions with the United States following President Donald Trump’s announcement of a 50% tariff on all European Union imports starting June 1st. Economic estimates suggest significant losses for Germany, with potential GDP shrinkage and billions in economic damage by 2028.
The Reserve Bank of India (RBI) has transferred a record ₹2.69 lakh crore dividend to the Government of India for FY25, surpassing all previous figures. This article explains how RBI earns its income, the reasons behind this massive transfer, and its impact on the economy, fiscal deficit, and stock markets. A must-read for investors and finance enthusiasts.
Investors are pouring back into U.S. corporate bond funds, marking a major shift in sentiment. With $9 billion in inflows and narrowing credit spreads, both investment-grade and high-yield markets are showing signs of stabilization and renewed confidence.