The recent decline in India's forex reserve from USD 705 billion to USD 656.58 billion is because the central bank is using forex reserve to manage currency volatility says a report by Union Bank of India.
At the CII Partnership Summit, External Affairs Minister Dr. S. Jaishankar outlined the increasingly complex global landscape, emphasising the need for more partnerships amidst growing global challenges. He touched upon the rise in US-China tensions, the effects of the Ukraine conflict, and
The Indian stock market has historically witnessed significant volatility, with intra-year drawdowns of 10 per cent or more recorded in 22 times out of the last 25 years, according to a recent report by Motilal Oswal.
In Bhandegaon village of Hingoli, Maharashtra, turmeric farmers grapple with market volatility, as they remain unaware of their crop's selling price until it reaches the market. While a price above Rs 10,000 per quintal ensures profit, anything below that leads to significant losses.
Das said, "Soft landing has been ensured, but risks of inflation coming back and growth slowing down do remain. The headwinds from geopolitical conflicts, geoeconomic fragmentation, commodity price volatility and climate change continue to blow."
The second term of Donald Trump, often referred to as "Trump 2.0," could bring heightened volatility to global stock and bond markets, highlighted a report by LLama Research.
Among Nifty-listed companies, 19 stocks advanced, 30 declined, and 1 remained unchanged. Power Grid, Trent, HCL Technologies, Infosys, and Tech Mahindra led the gains, while Asian Paints, Britannia, Apollo Hospitals, Cipla, and ONGC registered significant losses.
The 10-year government bond yield softened slightly, closing at 6.82 per cent, down from the previous session, while the 5-year bond yield held steady at 6.76 per cent. This shift in bond yields reflects cautious investor sentiment amid uncertain global conditions.
India Ratings and Research (Ind-Ra) has published the October 2024 edition of its Credit Market Tracker. The report comments on the systemic and market liquidity with insights on interest rate transmission, short-term yields, and aggregate mutual fund sectoral debt exposure.
Pune (Maharashtra) [India], November 4: In today's investment world, characterized by market uncertainties and fluctuating interest rates, finding a reliable avenue that balances risk and reward is crucial for investors. The Bajaj Finserv Multi Asset Allocation Fund emerges as a strategic so