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Market volatility offering long term opportunities as valuations correct: Vikas Khemani
Vikas Khemani, Founder of Carnelian Asset Management and Advisors, says market volatility and geopolitical uncertainty are creating attractive long-term investment opportunities as valuations correct while economic fundamentals remain strong. He advises investors to stay focused on quality businesses rather than chasing stocks simply because they have fallen sharply. Khemani remains constructive on sectors such as banks, manufacturing and pharma, and believes India’s long-term growth story remains intact despite near-term uncertainty.

Why Tata MF believes gold and silver will stay supported despite volatility
Gold and silver may stay supported due to geopolitical tensions, rising inflation, and supply constraints, says Tata Asset Management. Central bank demand and industrial use bolster them.

Cyient shares gain nearly 5% after partnership with Prospecta for data management platform
Shares of Cyient Ltd. surged nearly 5% after announcing a strategic partnership with Prospecta to develop a master data management platform for asset-intensive industries.
DCM Financial Services Ltd leads gainers in 'B' group
Hinduja Global Solutions Ltd, Super Spinning Mills Ltd, Arvind SmartSpaces Ltd and Escorp Asset Management Ltd are among the other gainers in the BSE's 'B' group today, 10 March 2026.
Stocks to buy in 2026 for long term: Nippon Life, Gravita India among 5 stocks that could give double digit returns
We have collated a list of recommendations from top brokerage firms from ETNow and other sources.

Stocks to Watch for March 10: NSE, Torrent Power, Bajaj Finserv, Dixon Technologies and more
NSE will add six stocks to the F&O segment from April 1, 2026, including Adani Power, Cochin Shipyard, Hyundai Motor India, Motilal Oswal, Nippon Life India, and Vishal Mega Mart. Here are few stocks to track ahead of Tuesday's trading session.

Value emerging in markets; Nifty may rebound 1,000 points from lows: Nuvama AMC
Value is starting to emerge in the equity market after the recent correction, said Nikhil Ranka, CIO – Equity Alternatives at Nuvama Asset Management. Midcaps had already fallen sharply and usually face extra pressure in March due to year-end funding closures. Ranka said leverage in the system is now low, which means even modest buying from lower levels could move markets sharply, allowing the Nifty to potentially gain the first 1,000 points quickly.

How Sebi’s mutual fund fee overhaul will make life harder for small distributors
About 90% of distributors, who contribute about 40-50% of the mutual fund industry's assets under management, worth ₹81 trillion, are likely to be non-GST-compliant, say experts. New rules will make compliance difficult for them, forcing them to partner with larger platforms.

In a volatile world, investors look for stability and growth, and India fits that profile: Carnelian's Swati Khemani
Swati Khemani, founder and chief executive officer of Carnelian Asset Management and Advisors, outlines how India’s structural stability and domestic-led growth make it a ‘safe haven’ for global capital amid geopolitical volatility.

Who is Shaan Patel? 22-year old entrepreneur launches quant investment company
Shaan Patel, a 22-year-old entrepreneur from Gujarat, has launched Shaan Patel Asset Management, focusing on quantitative investment strategies. Here's what we know about him.
Sai Life hits record high in weak market; rebounds 5% from day's low
Supported by solid demand, disciplined execution, and capex programs progressing as planned, Sai Life management remains confident in sustaining positive growth momentum.

Goldman Says It’s Unlike Private Credit Peers Hit by Redemptions
Goldman Sachs Group Inc.’s asset management arm has sought to reassure clients that redemption rates and software exposure are both relatively low in one of its biggest retail-oriented private credit funds.