2025-03-25Niranjan Ghatule
The financial markets are experiencing a rare phenomenon where both the U.S. Dollar Index (DXY) and the S&P 500 are declining simultaneously—an event that has only happened a handful of times in recent history. As of January 31, the S&P 500 has dropped by 6.5%, while the Dollar Index has fallen by 3.5%.
View more
2025-03-20Niranjan Ghatule
This article analyzes the Futures & Options (F&O) data from March 20, 2025, highlighting key trends in Foreign Institutional Investors' (FIIs) activity. It covers their increased buying in the cash market, short covering in index futures, and overall positioning, which remains tilted towards the bearish side.
View more
2025-03-19Niranjan Ghatule
Indian retail options trading has witnessed a dramatic plunge, falling to levels last seen in 2021. This blog post explores the reasons behind this sharp decline, including regulatory changes, rising transaction costs, market volatility, and shifts in retail investor behavior. Will this drop be temporary, or is it signaling a long-term shift in trading trends? Read on to find out more!
View more
2025-03-18Niranjan Ghatule
Foreign Institutional Investors (FIIs) are aggressively covering their short positions in index futures, signaling a potential shift in market sentiment. On March 18, 2025, FIIs covered 24,000 short contracts while adding 7,000 long contracts. This has led to a 23% reduction in net short positions over just two sessions, dropping from 1.84 lakh contracts on March 13 to 1.41 lakh on March 18.
View more
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
View more
2025-03-15Niranjan Ghatule
This article provides insights into the stocks recently bought by top mutual fund schemes in February 2025. It covers the latest investment trends of Parag Parikh Flexi Cap, HDFC Flexi Cap, Quant Small Cap, and Tata Small Cap funds. By analyzing these investments, readers can understand which sectors and companies are attracting institutional interest.
View more
2025-03-15Niranjan Ghatule
This article discusses the recent increase in promoter holdings in key Nifty 50 stocks, including Maruti Suzuki, JSW Steel, and UltraTech Cement. It highlights how promoter buying signals confidence in a company's future growth, potential undervaluation, and long-term stability.
View more
Your experience on this site will be improved by allowing cookies
Cookie Policy