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New-10-April-2026 News

Market Insight: Markets Bounce Back Above 24,000 | 10 April 2026

Indian equity markets closed the week on a strong footing as buyers returned decisively after Thursday’s pause. What unfolded today was not a speculative chase but a confident re‑engagement by investors, reassured by easing geopolitical anxieties and stabilizing global cues. The market reclaimed critical technical ground, with the Nifty decisively moving back above the 24,000 […]

News-9-APril-2026 News

Market Insight: After the Rally, a Reality Check for the Market? | 9 April 2026

Indian equity markets sharply reversed course on Thursday, snapping a five‑day winning streak as investors booked profits after Wednesday’s historic rally. What unfolded today was not panic selling but a measured reassessment of risk, driven by renewed geopolitical uncertainty and a rebound in crude oil prices. The market had raced ahead too quickly, and today’s […]

News-8-APril-2026 News

Market Insight: What Investors Should Do Now| 8 April 2026

Indian equity markets delivered one of their strongest single‑day rallies in recent years on Wednesday, decisively breaking out of the consolidation phase that followed last week’s geopolitical shock. What began as a cautious rebound earlier in the week turned into a full‑fledged risk‑on rally, as multiple global and domestic triggers aligned in favor of equities. […]

News-7 APril 2026 News

Market Insight: What Should Investors Do Now? | 7 April 2026

Indian equity markets extended their recovery for a fourth consecutive session, ending the day firmly in the green after overcoming early panic triggered by elevated crude oil prices and renewed West Asia geopolitical tensions. Markets opened sharply lower, with the Nifty slipping below 22,850 in early trade. However, decisive buying from lower levels led by […]

News-6-April-2026 News

Market Insight: Bank Stocks Drive Market Recovery | 6 April 2026

Indian equity markets staged a strong rebound on Monday, extending the recovery from late last week as geopolitical anxiety cooled marginally. After opening sharply lower amid lingering Middle East concerns, markets reversed decisively following reports of a possible US–Iran ceasefire framework, triggering broad‑based buying across banks, financials, midcaps, and select defensives. Unlike last week’s fragile […]