Stock Markets

By Gurjot Singh , 14 March 2026

A shortage of commercial liquefied petroleum gas (LPG), triggered by geopolitical tensions in West Asia, has begun influencing India’s equity markets and consumer behavior. As supply disruptions affect restaurant operations, demand for alternative cooking technologies such as induction cooktops and electric appliances has increased significantly. This shift has driven strong gains in the share prices of several kitchen appliance manufacturers, while stocks linked to the restaurant and food service sector have declined.

By Eknath Deshpande , 26 February 2026

India’s premier stock exchange is expanding its international footprint through a global trading platform that allows domestic investors to access equities across 30 world markets. The initiative marks a significant shift in capital mobility, enabling individuals and institutions to diversify beyond Indian assets without establishing foreign brokerage accounts. By integrating international securities into a regulated domestic framework, the National Stock Exchange aims to deepen investor participation and strengthen India’s financial ecosystem.

By Sachman Kochar , 22 February 2026

India’s equity markets bounced back strongly, with benchmark indices reversing recent losses amid improved global cues and renewed domestic buying interest. The Sensex and Nifty 50 advanced in tandem, supported by gains in banking, metals and select technology stocks. Investors appeared encouraged by easing volatility, stable macro indicators and selective value buying after the recent correction.

By Binnypriya Singh , 8 February 2026

The National Stock Exchange (NSE) reported a 37 percent decline in net profit to Rs 2,408 crore for the quarter ended December 2025, reflecting softer trading volumes and rising operational expenses. Market volatility, moderation in derivatives turnover and increased regulatory compliance costs weighed on earnings during the period. While revenue streams remained diversified across equities, derivatives and ancillary services, the exchange faced margin compression amid shifting investor sentiment.

By Sachman Kochar , 27 January 2026

Indian equity markets witnessed a sharp pullback as the combined market capitalization of top-listed companies declined by Rs 2.51 lakh crore, signaling investor caution amid global and domestic headwinds. Sectoral trends were uneven, with energy, IT and banking stocks absorbing most of the volatility. Reliance Industries, typically a market bellwether, underperformed peers, contributing significantly to the market slide. Analysts attribute the correction to profit-booking, policy uncertainty and elevated valuations following a strong rally earlier in the year.

By Eknath Deshpande , 27 January 2026

Financial markets are entering a decisive phase as third-quarter corporate earnings, evolving signals from the U.S. Federal Reserve and anticipation around the upcoming Union Budget shape investor sentiment. Equity benchmarks are reacting to a complex mix of resilient corporate performance, interest-rate uncertainty and fiscal expectations. While earnings growth has offered pockets of optimism, concerns around valuations and global liquidity remain in focus.

By Binnypriya Singh , 5 January 2026

India’s equity markets witnessed a strong rebound as the combined market capitalisation of the country’s 10 most valued companies rose by Rs 1.23 lakh crore in a single trading period. The surge reflected renewed investor confidence, supported by firm global cues and selective buying in blue-chip stocks. Reliance Industries led the gains, reinforcing its position as the most influential stock on the benchmark indices. Other frontline companies also posted healthy additions to their valuations, highlighting broad-based optimism across key sectors.

By Binnypriya Singh , 21 October 2025

The Indian stock market extended its upward momentum for a fourth consecutive session, with the BSE Sensex rising 411 points to close at 68,230, led by gains in financial, IT, and energy stocks. Investor optimism was fueled by robust domestic economic indicators, positive corporate earnings, and steady foreign fund inflows. Market breadth remained strong, with over 70% of stocks advancing, while the Nifty 50 index surged 120 points to 20,450.

By Binnypriya Singh , 28 September 2025

Glottis, a rising player in the consumer technology sector, has successfully raised Rs 55 crore from anchor investors ahead of its initial public offering (IPO). The strong anchor subscription underscores investor confidence in the company’s growth prospects, innovative product portfolio, and market positioning. With this capital infusion, Glottis is poised to strengthen operations, accelerate research and development, and expand its distribution network.

By Eknath Deshpande , 28 September 2025

BMW Ventures’ initial public offering (IPO) has been subscribed 1.5 times, reflecting moderate yet healthy investor demand for the company’s equity. The subscription indicates confidence in BMW Ventures’ business model, strategic growth plans, and potential for value creation in the automotive and mobility solutions sector. Analysts attribute the positive response to the firm’s strong brand reputation, innovative technology focus, and alignment with evolving global trends in electric vehicles and sustainable mobility.