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marketsThe GIFT Nifty's rise of over 300 points signals a positive start for Indian markets after weeks of decline. Declining oil prices and geopolitical tensions add complexity.
marketsUS stocks surged as hopes for US-Iran talks and strong earnings boosted investor confidence. Tech stocks led gains, influencing global market sentiment.
marketsIndian IT stocks are set for a rally, driven by gains in US tech stocks and easing macroeconomic concerns. Infosys and Wipro ADRs surged, boosting sentiment.
marketsThe Nifty index is set to approach 24,000, buoyed by optimism over US-Iran dialogue. Positive global cues are fostering a bullish sentiment in Indian markets.
marketsNifty shows resilience with strong support at 23,400-23,500. Analyst Nagaraj Shetti recommends Glenmark Pharmaceuticals and Oberoi Realty as breakout stocks to watch.
marketsGIFT Nifty surged 200 points as hopes for US-Iran peace talks renewed, boosting Indian markets. Cooling oil prices and global market gains add to investor optimism.
marketsForeign investors have withdrawn $18 billion from Indian equities amid geopolitical tensions and rising oil prices, causing a 9% decline in the Nifty index.
marketsTaiwanese stocks hit record highs as investors flock to AI shares amid easing Middle East tensions. This trend offers insights for Indian investors eyeing tech opportunities.
marketsGold and silver prices have rebounded on renewed optimism from US-Iran ceasefire talks. This development offers both opportunities and challenges for Indian investors.
marketsOn April 14, 2026, NSE and BSE will close for Ambedkar Jayanti, with MCX resuming evening trading. This holiday offers investors a chance to reassess strategies.
marketsIndian markets saw significant declines with Nifty and Sensex dropping sharply before short covering eased losses. Traders adjusted positions ahead of a market holiday, reflecting ongoing volatility.
marketsThe TSX has reached a six-week high, driven by gains in financial and technology sectors. This reflects investor confidence and offers potential opportunities for Indian investors.
marketsMCX India and three other midcap stocks have hit 52-week highs, showcasing strong momentum with gains up to 17% in a month, despite broader market challenges.
marketsUS stock markets opened lower with the Dow dropping over 300 points due to failed US-Iran talks, causing investor anxiety and a surge in oil prices. Indian investors should be cautious as rising oil prices could impact the economy.
marketsIndian markets plunged as Sensex fell by 1,600 points and Nifty dropped below 23,600 due to US-Iran tensions and rising oil prices. Investors face heightened volatility.
marketsForeign investors are unwinding bearish positions as Indian markets rebound, reflecting cautious optimism. Future shifts hinge on geopolitical talks and currency stability.
marketsNifty's technical outlook improves with a rebound, targeting 24,600. Analysts recommend buying futures around 24,106. Key stocks show bullish trends.
marketsIndian markets face potential volatility as oil price movements threaten recent gains. The RBI's measures support the rupee, but geopolitical risks persist.
marketsThe Nifty index closed above 24,000, driven by gains in banking, auto, and consumer stocks. While bullish trends are evident, global cues and crude prices pose risks.
marketsSBI and Bajaj Consumer Care are highlighted as strategic buys for Monday, with potential gains driven by strong technical indicators and market conditions.
marketsAnalysts recommend SBI and Bajaj Consumer Care as strategic buys amid bullish market trends. Both stocks show strong technical breakouts, suggesting potential gains.
marketsMarket expert Sumeet Bagadia recommends three stocks under ₹100 amid a market rebound. His picks offer potential growth opportunities as geopolitical tensions persist.
marketsNifty surged 6% last week, marking its best performance since February 2021. Analysts predict further gains, but global cues and oil prices pose risks.
marketsThe Nifty Bank is showing strong bullish momentum, potentially reaching 57,300, while the IT sector faces bearish challenges. Strategic sector allocation is key for investors.