Securing Hannav Ledger...
Securing Hannav Ledger...
Daily Indian market and personal-finance updates. Newer stories appear on the homepage; this archive keeps previous bulletins available to read anytime.
Ola Electric’s first dealer‑led stores lift its shares 4%, signalling a faster retail push for Indian EVs.
A record $127 bn into FCNR(B) may add Rs 10‑11 000 cr to banks’ profits, though short‑term margins could tighten.
The rupee closed at 94.49 per dollar, its sixth straight gain, as foreign funds flow in despite higher oil prices.
Rising German yields signal tighter ECB policy, nudging Indian markets and prompting investors to reassess risk.
Public sector banks in India are set to benefit from the liquidity coverage ratio (LCR) reset, allowing them to increase lending and potentially boost the Sensex and Nifty. This development could impact bond yields and provide opportunities for Indian retail investors.
HSBC and Kotak launch semi‑fixed mortgage products to protect margins amid rate uncertainty, offering Indian home‑buyers a blended rate option.
US stocks surged after Fed Governor Waller’s remarks, easing rate hike fears and boosting tech names like Nvidia.
Massive dollar inflows are expected to keep RBI’s hedging costs low, easing pressure on the central bank and bolstering market sentiment.
NSE’s long‑awaited IPO gets Supreme Court green light after settlement, potentially becoming India’s second‑largest listing and boosting market sentiment.
The Nifty fell 0.17% on Thursday as HDFC Bank attracted $12 bn in foreign deposits while Mahindra & Mahindra announced a truck business integration and Gland Pharma’s stake sale added to market jitters.
Jio plans a $4B IPO during the festive season, potentially driving telecom stocks higher and influencing the Nifty’s performance.
Foreign portfolio investors added over Rs13,000 crore in the second half of August, driving the Sensex higher and favoring consumer‑services, financials and healthcare.
Fed Governor Waller’s dovish remarks eased rate‑hike fears, sending Asian markets higher and sparking optimism for Indian equities.
SEBI will reassess how closing auction prices set derivative contracts, aiming to curb volatility and protect small investors.
Canara Bank aims to raise up to $2 billion via overseas bonds, a move that could strengthen its balance sheet and influence banking stocks.
The Indian government's decision to stall Alipay+'s proposal to link with India's payment system has raised concerns about data security and national interests.
Experts say a bigger paycheck won’t automatically raise your credit score, as repayment discipline and utilisation drive CIBIL ratings.
Investors may unknowingly double‑down on the same stocks, squeezing returns and increasing risk.
The US Senate's CLARITY Act aims to define digital asset structures, a move that could influence India's crypto tax and AML landscape.
A 7% annual raise under the 8th Pay Commission could add ₹29 lakh to a Level 8 employee’s pay over a decade, boosting consumer demand and PSU profits.
Deciding between PPF and SIP can shape your retirement savings, but each offers distinct risk, tax, and liquidity profiles.
Axis Mutual Fund’s CIO R. Sivakumar says export‑driven manufacturing, especially in mid‑ and small‑caps, offers a fresh growth catalyst for Indian investors.
Term policies for college entrants promise low premiums, but experts warn young Indians must weigh real need against future financial goals.
Deductibles and co‑pays can dramatically affect out‑of‑pocket health costs, influencing personal savings and the performance of India’s healthcare stocks.