RIL, HDFC Bank among top 10 companies with highest mutual fund holding in March Quarter
Mutual fund holding went up to 10.35% as on March 31, 2025 from 9.93% as on December 31, 2025. In rupee value terms, MF holding stood at Rs 42.18 lakh crore, a decrease of 2.35% over the last quarter. Here are the top 10 companies with highest MF holding in rupee value terms.
Why you should let data and not market beliefs guide your investment decisions
Contrary to the popular “Sell in May and go away” adage, data suggests Indian stock markets perform better from May to October, averaging 7.6% returns compared to November-April’s 4%. Analyzing a decade of trends reveals May, June, and July historically show strong probabilities of positive returns.
Explained: What is Yield to Maturity (YTM) in debt mutual funds
Yield to Maturity (YTM) is a crucial indicator for debt mutual fund investors, offering an estimated annual return if bonds are held until maturity. It aids in comparing funds and aligning with investment horizons. However, YTM is not guaranteed, as it’s impacted by interest rate movements and credit quality.
Retail pain rises as smallcap stocks miss the bluechip party: Is the undercurrent turning bearish?
Call it the tale of two markets. On one side, heavyweight Reliance Industries — India’s most valued stock — roared 9% higher, buoyed by a Q4 earnings glow and a fresh wave of FII love.
IPL Portfolio: Make consumer stocks your top-order in dream 11 team, says smallcase manager Robin Arya
GoalFi suggests a balanced investment approach, mirroring an IPL team, with financials as the anchor due to strong credit growth. Consumer-facing sectors lead the top order, driven by demand revival, while manufacturing and capital goods offer mid-overs acceleration. Select digital and tourism themes provide tactical opportunities for match-winning returns, creating a portfolio for diverse market […]
Where are millionaires investing? Properties above Rs 2 crore gain share in Mumbai market
According to a recent report by Nuvama Institutional Equities, the share of high-value properties rose to 25% in April 2025, up from 22% in April 2024 and 19% in March 2025, signaling a clear resurgence in the premium housing segment.
Wall Street Week Ahead-Fed outlook in focus as US stocks rally picks up steam
The Federal Reserve meeting will assess the recent stock market recovery. Investors hope for interest rate cuts. Stocks recovered after President Trump’s tariffs caused a slump. The Fed is expected to hold rates steady. Market anticipates potential rate cuts. Trump’s tariffs and White House pressure influence the Fed’s decisions. Corporate earnings have exceeded expectations.
Trump says US in transition period, downplays impact of short-term recession
President Trump acknowledged the U.S. economy is in a “transition period,” expressing optimism for future performance despite concerns about a potential short-term recession. He cited strong employment figures and reiterated his call for the Federal Reserve to lower interest rates.
JSW Steel-Bhushan Power fallout: In the absence of legal certainty, foreign investors may shun stressed assets
The Supreme Court’s decision to overturn JSW Steel’s acquisition of Bhushan Power & Steel has shaken India’s insolvency resolution framework. This ruling raises concerns about the finality of IBC deals, potentially deterring global financial investors from the distressed asset market due to increased legal uncertainty.
SAT upholds Sebi order penalising RIL, 2 execs
The Securities Appellate Tribunal (SAT) has upheld SEBI’s ₹30-lakh penalty on Reliance Industries and two compliance officers for delayed disclosure of Facebook’s Jio Platforms stake purchase in 2020. SEBI’s investigation revealed news of the deal circulated in March and April 2020, prior to RIL’s official announcement on April 22.