Investors should prepare for ongoing market volatility, balancing portfolios between large caps for stability and midcaps for growth. Banking, IT, and pharma sectors are recommended for their resilience and potential. Emphasizing asset allocation and diversification is crucial for managing risks and ensuring consistent returns in uncertain times.
A fresh perspective on India’s securities market laws
India’s regulatory framework, rooted in post-independence laws, has evolved through amendments. With markets expanding 100-fold since SEBI’s inception, a regulatory clean-up is essential. The 2025