2025-06-04Niranjan Ghatule
President Donald J. Trump spoke with Russian President Vladimir Putin for 75 minutes following Ukraine’s recent airstrike on Russian airfields. In the call, Putin strongly stated that he would be forced to respond to the attack. Trump emphasized that the conversation was serious but not one that would lead to immediate peace.
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2025-06-04Ravi Mehta
Robert Kiyosaki, author of Rich Dad Poor Dad, has once again predicted a massive financial crash in 2025, urging investors to exit stocks and bonds and shift to gold, silver, and Bitcoin. However, this isn’t his first such warning — Kiyosaki has a history of repeatedly forecasting crashes, most of which have not materialized.
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2025-06-03Niranjan Ghatule
This article explores hedge fund activity in global technology stocks, focusing on the recent surge in buying during the week of May 23rd to May 29th, 2025. It analyzes historical weekly flow data and highlights key shifts in sentiment across the past five years.
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2025-06-03Niranjan Ghatule
India has taken a bold step against the United States by announcing retaliatory tariffs on 29 American products after years of unresolved trade disputes. This article explores the background, reasons, potential consequences, and global impact of this rising India-US trade tension.
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2025-06-03Niranjan Ghatule
A detailed analysis of Ukraine’s recent drone attack on Russia and its wide-ranging impact on crude oil prices, gold, global geopolitics, and the Indian economy. The blog also explores how U.S. trade policy under President Donald Trump may affect India’s energy imports and steel exports. Key market implications and investor insights included.
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2025-06-02Niranjan Ghatule
JPMorgan CEO Issues a Stark Warning: JPMorgan CEO Jamie Dimon has issued a serious warning about a potential crisis in the U.S. bond market. With rising national debt, high fiscal deficits, and uncertain economic policies, the threat to global financial stability is growing. This article breaks down Dimon's concerns and their possible impact on the U.S. economy and global markets.
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2025-06-02Ravi Mehta
Crypto Fund:This article explores the recent surge in investments into crypto funds, highlighting a significant rise in net inflows, particularly into Bitcoin and Ethereum. It provides insights into the cumulative growth of crypto fund inflows since 2019, underscoring the strong bullish sentiment currently dominating the digital asset market.
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2025-06-01Niranjan Ghatule
A deep dive into the recent US proposal to impose a 500% tariff on countries buying oil and raw materials from Russia. This article explores how the move could impact India’s foreign policy, trade relations with the US, and its energy partnership with Russia.
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2025-06-01Niranjan Ghatule
US Default Risk Spikes credit default swaps on US government debt have surged to 52 basis points, signaling heightened investor concern over America's fiscal trajectory. With CDS pricing near its highest in 12 years—outside of the 2023 debt ceiling crisis—and outstanding volumes climbing to $3.9 billion, markets are flashing warnings about the risks posed by rising deficits
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