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Waaree Energies shares crash 5%. Can this US ruling dent solar panel maker's image for long?
Waaree Energies shares fell nearly 5% after a US Customs ruling triggered concerns over reputational impact despite the company’s clarification. JM Financial retained its ‘Add’ rating, saying downside may remain limited, though tariff outcomes, appeals and potential spillover effects remain key factors to monitor.
ONGC gains on appointing Anupam Agarwal as CFO
Oil and Natural Gas Corporation (ONGC) rose 1.33% to Rs 236.30 after company has appointed Anupam Agarwal, Director (Finance), as its chief financial officer (CFO) & key managerial personnel (KMP) with immediate effect, replacing Yogish Nayak S.
Interglobe Aviation among 4 stocks flashing bullish signals, hinting at a possible uptrend
Four Nifty500 stocks formed a bullish White Marubozu pattern, signalling strong buying interest throughout the session. Mahindra & Mahindra Financial Services, Tata Motors, Asahi India Glass and InterGlobe Aviation featured on the scanner.
Jio Financial Services Share Price Live Updates: Jio Financial Services sees a 2.05% decrease in weekly returns
Nifty has more room to run; stay selective: Analysts
Indian stock markets are showing cautious optimism, with the Nifty eyeing the 24,300-25,000 zone amid ongoing volatility. Analysts recommend selective trading and specific strategies like a moderately bullish Call Spread. Top stock picks include TVS Motor, Samvardhana Motherson International, Oberoi Realty, Aurobindo Pharma, Vijaya Diagnostic Centre, and Mahindra & Mahindra Financial Services, each presenting unique buying opportunities with defined targets and stop losses.

Inside Rajesh Exports' paper trail—a complex web of auditors and arms
A limited-purpose, non-statutory opinion issued by KPMG Switzerland for Global Gold Refineries AG (GGR), the firm's Swiss arm, was likely used to prepare the group's consolidated financial statements, documents reviewed by Mint showed.

Tax, policy changes making equities more attractive for investors, likely to sustain inflows: JP Morgan
Government policy measures and changes in the tax treatment of various financial products have made equities increasingly attractive compared with other investment options, as per a JP Morgan equity research report.

Global Economy Faces Fresh Fault Lines: Bank for International Settlements Flags Debt, Inflation, AI Risks
BIS flags rising debt, inflation pressures and AI-driven market risks as key threats to global financial stability.
Tax, policy changes making equities more attractive for investors, likely to sustain inflows: JP Morgan
Government policies and tax reforms are making Indian equities a more attractive investment compared to other options, according to a JP Morgan report. These changes, coupled with rising investor participation via Systematic Investment Plans (SIPs), are expected to drive sustained inflows into the country's capital markets. Domestic investors are increasingly shifting savings towards financial assets, a trend reinforced by the favourable policy environment.

Industry experts chart the future of India’s bond and fixed income markets
India Fixed Income Summit brings meaningful conversations and fresh perspectives on India’s evolving bond market and the growing importance of fixed income in India’s financial ecosystem.
Treat internal financial controls as business necessity, not as compliance burden: ICAI official
Strong internal financial controls are crucial for businesses, not just for compliance, according to the ICAI President. He emphasized that robust internal mechanisms help identify risks and prevent financial leakages, urging entrepreneurs to prioritize them for their own benefit. This advice comes amid recent governance concerns in the financial sector, highlighting the interconnectedness of good governance and effective internal controls.
Beyond Valuations: Philip Fisher's timeless guide to quality stock investing
Legendary investor Philip Fisher championed a qualitative approach to stock picking, emphasizing exceptional businesses with strong management and durable competitive advantages. His 15-point checklist, still relevant today, guides investors to look beyond numbers, focusing on long-term growth potential, innovation, financial strength, and, crucially, management integrity. Fisher's philosophy stresses that identifying outstanding companies and holding them for the long haul is key to building lasting wealth.