Indian markets show volatility in 2025. Chirag Muni discusses investment strategy. Equities provide returns over five years. Gold and silver also perform. India’s GDP growth is 6.5 percent. Inflation is 2.1 percent. Interest rates are cut. Investors should consider mutual funds. Allocations to largecap, midcap, and smallcap are suggested. This approach targets growth.
Goldman Sachs’ India bets: 8 stocks rally up to 85% in CY26; one new addition
Goldman Sachs’ India equity portfolio fell 6% in CY26 amid mixed stock performance. While 18 stocks declined sharply, eight delivered strong gains, led by GNG