2025-02-23Niranjan Ghatule
January 2025 witnessed significant shifts in mutual fund investments as fund managers strategically adjusted their portfolios to navigate market volatility. While large-cap stocks like Reliance Industries, HDFC Bank, and ITC saw increased buying interest, major firms such as Infosys, Tata Motors, and Bharti Airtel faced sell-offs
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2025-02-15Niranjan Ghatule
The Indian stock market has had a rough start to 2025, witnessing the worst opening in nearly a decade. A massive selloff by Foreign Portfolio Investors (FPIs) has triggered sharp declines across major indices, raising concerns about future market trends. This article explores the reasons behind the selloff, its impact on Indian markets, expert insights, and what investors should expect in the com
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2025-02-13Niranjan Ghatule
In Q3, Foreign Institutional Investors (FIIs) sold shares worth a massive ₹2 lakh crore, leading to volatility in the Indian stock markets. Despite the heavy sell-off, certain stocks saw increased FII holdings, signaling confidence in select sectors and companies. This blog explores the reasons behind the large-scale selling, the factors driving FIIs' selective buying
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