|
Vikas Khemani from Carnelian Asset Management suggests a portfolio focused on India's long-term potential. Banking, financial services, and manufacturing are key sectors. Consumption, both discretionary and non-discretionary, offers opportunities. Crude price fluctuations can create buying chances in related sectors. Auto ancillary companies with diversified exposure are attractive. Individual company analysis is crucial for informed investment decisions.
Category:
News and Media
Indian shipping stocks, including GE Shipping and SCI, surged following escalating tensions between Israel and Iran. The geopolitical unrest drove crude oil prices higher and fueled speculation about rising container shipping rates.
Category:
News and Media
Bajaj Finance shares will trade ex-split from June 16, 2025, with June 13 being the last day to buy shares for eligibility. The company announced a 1:2 stock split and a 4:1 bonus issue. While the number of shares increases, the overall investment value remains the same, with the share price adjusting accordingly.
Category:
News and Media
All news |
||||||||||||||||||
|