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Investor Nischal Maheshwari argues Indian markets have already absorbed a major valuation correction, with indices flat across three consecutive Aprils despite 10–12% earnings growth, and urges gradua
The S&P 500 broke a five-week losing streak even as oil surged past $110 a barrel, pushing U.S. gasoline prices above $4 per gallon and setting up a pivotal April 10 CPI reading that will test whether
Stock futures are slipping after a strong week, with **S&P 500 futures** down 0.2% and **Dow futures** falling 0.1%, as rising oil prices and geopolitical tensions, specifically **Trump's escalation t
Indian benchmark indices Sensex and Nifty reversed early gains to close sharply lower on Monday after Trump posted expletive-laden threats to massively escalate US strikes on Iran unless Tehran opens
Brokerages are bullish on a diverse set of stocks, including **Tata Consumer** and **Granules India**, projecting 10-50% returns by 2026, driven by strong earnings visibility across sectors like FMCG,
Safety Controls and Devices launched its IPO, valuing the firm at roughly Rs 159 crore with a flat GMP, while investors weigh its government‑linked order book and execution risks ahead of listing.
A technical scan of the Nifty500 universe flagged 10 stocks whose closing prices slipped below their 200-day moving averages on April 2, a setup traders interpret as a bearish long-term trend signal.
Gold dropped 1.2% as a strengthening dollar and the near-complete disappearance of Federal Reserve rate-cut expectations this year overpowered bullion's traditional appeal as an inflation hedge amid s
Brent crude jumped above $111 a barrel after Trump renewed threats to attack Iranian infrastructure over the Strait of Hormuz closure, with investors bracing for further escalation ahead of a Monday n
Indian bank stocks have shed $95 billion in market value since early March as the Reserve Bank of India’s tight monetary stance and escalating Middle‑East tensions curb liquidity, pressure credit grow
Analysts at Axis, Globe Capital, and SBI Securities flagged six April breakout candidates and one breakdown pick, citing Q4 earnings optimism, Akshaya Tritiya demand, and global aluminium supply shock
India’s market opened lower as GIFT Nifty slipped 82 points, while rising fear (India VIX 25.52) and a sharp rupee rally of over 2% highlighted divergent investor sentiment amid global commodity and g
Asian markets rallied after President Trump warned Iran of attacks on its power grid and set a Tuesday deadline, while oil prices slipped and U.S. futures edged higher, reflecting heightened geopoliti
UiPath’s shares have slumped 87% from their peak, even as the company posted a 14% revenue rise and doubled net income in Q4 fiscal 2026 while pivoting its RPA platform toward AI‑driven automation.
UiPath’s stock has slumped 87% from its peak, yet the company still reports rising revenue, net income and ARR while positioning its platform for the emerging agentic AI market.
Oil surged past $115 to near post-war highs while US equity futures dropped roughly 0.7%, as escalating Trump-Iran rhetoric and a looming deal deadline revived the oil-stocks correlation that had rece
Financial experts warn that the Trump family's deep involvement in crypto and recent policy moves create conflict‑of‑interest risks, urging investors to limit Bitcoin holdings to a small share of thei
Wall Street analysts spotlight Amazon, SanDisk, and Nebius as high‑growth stocks, citing AI‑driven demand, expanded cloud partnerships, and multi‑billion‑dollar hyperscaler contracts that lift earning
Four S&P 500 technology stocks — Sandisk, Lumentum Holdings, Ciena, and Seagate Technology — have each gained between roughly 50% and nearly 200% year-to-date in 2026, outpacing cryptocurrency returns
Delta Air Lines launched its Q1 earnings report as the Iran war drives oil prices up 77%, yet the carrier’s stock has risen 2% and it leans on its own refinery and premium‑ticket focus to offset fuel
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