2025-03-28Ravi Mehta
The U.S. stock market is experiencing a severe downturn, with major indices collapsing amid surging inflation fears and escalating trade war tensions. The Dow Jones plummeted 618 points (-1.46%), the S&P 500 crashed 100 points (-1.77%), and the **Nasdaq nosedived 445 points (-2.50%)
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2025-03-19Niranjan Ghatule
This article discusses the sharp decline in Indian IT stocks, primarily driven by fears of a potential US recession. The Nifty IT index has hit a 10-month low, with major IT stocks such as TCS, Infosys, Tech Mahindra, and HCL Technologies suffering losses.
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2025-03-16Niranjan Ghatule
This article analyzes past Nifty corrections and their corresponding Price-to-Earnings (PE) ratio bottoms. By studying historical market crashes like the 2008 Financial Crisis, the 2020 COVID-19 crash, and the 2021-22 correction, investors can gain insights into current market conditions. With the Nifty PE currently at 19.9
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2025-03-15Niranjan Ghatule
This article explores the sharp decline in U.S. airline stocks amid a dramatic drop in government travel following Donald Trump’s inauguration. United Airlines reported a 50% reduction in government travel, leading to over $20 billion in market cap losses across major airlines. Delta and American Airlines responded by slashing their Q1 earnings outlooks, further deepening the market decline.
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2025-03-14Niranjan Ghatule
The stock market is in freefall as Trump's second term takes a sharp turn from his first. The S&P 500 has officially entered correction territory, wiping out $340 billion per day over the past 16 trading sessions. While inflation cooled more than expected in February, any hopes of a market rebound were crushed by Trump's threat of 200% tariffs on the EU.
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2025-03-13Niranjan Ghatule
The U.S. economy is undergoing a significant shift under President Trump's second term, with a strategic focus on reducing inflation, refinancing the nation’s debt, and reshaping trade policies. Recent statements from Trump and his administration indicate a willingness to accept short-term economic pain—including a potential recession—to achieve long-term financial stability.
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2025-03-12Niranjan Ghatule
The Indian IT sector has entered bear territory as the NIFTY IT index plunges 5% amid growing concerns over a U.S. recession. Morgan Stanley has issued a cautious outlook, downgrading Infosys and cutting target prices for key IT stocks, citing risks to revenue growth and valuation multiples.
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2025-03-11Niranjan Ghatule
The stock market has experienced a sharp downturn, with the S&P 500 losing over $5 trillion and the Nasdaq 100 falling 12.5% in just 14 trading days. Extreme fear has gripped investors, with record-high put option volumes and hedge funds previously cutting exposure to tech stocks.
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