News

Q4 results, FY25 and Q4 GDP data, F&O expiry, foreign fund flow, and global cues will dictate trends this week. D-Street ...
Foreign Institutional Investors (FIIs) have withdrawn ₹11,998 crore from the Indian equity cash market last week. Despite ...
In the coming week starting from May 26, the market is expected to be rangebound with a positive bias with focus on ...
Indian equities ended last week on a high, but global headwinds, including FII outflows, US debt concerns, and geopolitical tensions, loom large. Market experts analyse technical levels, sectors to ...
Among the key players entering the IPO arena are Schloss Bangalore Ltd, the company behind Leela Palaces Hotels & Resorts, ...
Tinkering in the wrong way with the superannuation system to bolster the tax intake is dangerous. AMP’s Alexis George urges a ...
Oklo stock surged on nuclear support and data center demand, but remains speculative with tech, capital, and regulatory risks ...
Worries may persist for a few weeks about Moody's U.S. credit rating downgrade, but the historical indicators of the U.S. economy, the Dow Jones Industrial Average, S&P 500, and Nasdaq Composite, ...
Japanese Yen gains on risk aversion as Trump targets EU with tariffs. BoJ policy outlook, Tokyo inflation, and U.S. data ...
There is always an indiscriminate sell-off as soon as a crisis hits, but not all companies are hit the same way. This is ...
Here are 5 things to watch this week in the Market.
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