The stock market opened lower on May 8 as crude oil prices rose and US-Iran tensions escalated. Nifty 50 and Sensex declined, but midcaps performed better. Analysts see a bullish trend in certain sectors, suggesting potential upside for investors.
3 min read8 May 2026Experts are divided on the long-term implications. While some warn of unintended consequences, others see the curbs as necessary.
4 min read4 May 2026In 2026, foreign portfolio investors have withdrawn ₹1.89 lakh crore from Indian equities due to global uncertainties and a shift towards AI stocks in the US, South Korea, and Taiwan. This trend reflects a risk-off sentiment rather than weak domestic fundamentals.
3 min read30 Apr 2026Surging crude prices could stoke inflation and growth risks for the country, squeeze consumption and weigh on near-term corporate margins, with a weakening rupee adding to the pressure, the brokerage said in a note on Friday.
1 min read24 Apr 2026HSBC, in a report dated 23 April, downgraded India to underweight after changing its stance to neutral from overweight on 31 March. At the same time, it raised its stance on Korean equities to neutral.
2 min read24 Apr 2026The Nifty 50 and Sensex rose over 1% this week, extending gains after last week’s near 6% surge — their strongest in over five years — but the pace has now moderated. On Friday, both indices closed about 0.65% higher, with the Nifty at 24,353.55 and the Sensex at 78,493.56.
3 min read17 Apr 2026Equities surged nearly 2% as diplomatic breakthroughs in West Asia sparked a risk-on rally and technical recovery. While experts suggest the market has bottomed out, focus shifts to May election results and corporate earnings resilience.
3 min read15 Apr 2026Foreign investors have pulled ₹1.8 trillion from Indian equities in FY26 — a 34-year record. But history suggests such sentiment-driven sell-offs may offer long-term investors rare entry points.
3 min read14 Apr 2026A sharp correction has rattled investors, but five-year gains, currency effects and global comparisons suggest the damage may be less severe than it looks.
2 min read13 Apr 2026FPIs have pulled out ₹1.8 lakh crore from Indian equities in 2026, influenced by geopolitical tensions and rising oil prices. Investments are now focusing on markets like Taiwan and Japan, although mutual fund inflows show positive market signs, depending on future geopolitical developments.
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