Nifty 60 Podcast • Updated Weekly
We analyze the structural shift happening in rural demand and what the central bank's latest move really means for your debt allocation.
The Nifty Smallcap 250 PE ratio has crossed historic averages. Should you stop your SIPs or rebalance? We crunch the numbers.
With US elections concluding, we look at how the new administration's policies might impact Indian IT service exports and H1B dependencies.
A quick look at the symbolic trading session and why historical data suggests Muhurat gains rarely predict the year ahead.
With gold hitting new highs, we break down the most tax-efficient way to hold the yellow metal in your portfolio for 2025.
NIM compression is real. We discuss HDFC and ICICI results and whether the banking sector rally is running out of steam.
Commercial real estate is back in focus. Are REITs a better alternative to physical property investment for yield seekers?