STOCK MARKET VOLATILITY
Why are US stock market futures down today, and will Dow Jones, S&P 500 and Nasdaq continue to drop or rise again? Wall Street futures, US stocks to watch, analysts insights and market outlook
Why are US stock market futures down today, and will Dow Jones, S&P 500 and Nasdaq continue to drop or rise again? US stock futures fell after a strong rally as Iran tensions returned and oil prices jumped. Investors reduced risk positions while earnings season approaches. Energy shares gained while volatility increased. Analysts expect market swings in the near term as geopolitics, earnings, and economic outlook shape investor sentiment and trading decisions.
Buy every dip, markets have turned a corner; 2 trading calls for near-term gains: CA Rudramurthy BV
India's stock market shows a fundamental shift, with analysts advising investors to buy on dips as negative news is now ignored. The Nifty is projected to reach 24,800-25,000, driven by strong sector performance and returning FII buying. Traders are also presented with specific near-term opportunities in Varun Beverages and GNFC.
FII selling fuels trading spikes but clouds medium-term growth outlook for Groww
Groww reports strong profit and revenue growth. However, foreign investor selling and global tensions create a mixed market. This boosts short-term trading activity on the platform. But sustained foreign selling could slow new user growth and asset inflows in the medium term. The company manages these market dynamics.
Groww Q4 Results: Profit soars 122% YoY to Rs 686 crore, cashing in on market crash and Iran war
Groww Q4 Results: Groww's parent company, Billionbrains Garage Ventures, announced a significant 122% year-on-year profit increase to Rs 686 crore for the March quarter. Revenue also surged 87% to Rs 1,505 crore. This strong performance was fueled by user growth and increased trading activity, especially in derivatives. Customer assets on the platform grew substantially, demonstrating continued investor confidence and platform engagement.
Markets near bottom, but volatility not over; buy in staggered manner: Sunil Subramaniam
Markets are experiencing volatility due to global events. Experts advise investors to buy in small, staggered amounts. Institutional investors are gradually increasing positions. The upcoming earnings season will be crucial for determining the market's direction. Investors should focus on corporate guidance and sector-specific trends for future investment decisions.
Gujarati travellers cut back on travel plans amid geopolitical uncertainty, expected market volatility
Gujarati travelers are pausing travel plans. Uncertainty from the US-Israel-Iran conflict and stock market dips are causing caution. Advance bookings for summer trips are down significantly. Many are considering alternative destinations. This trend is impacting hotels and event planners. Experts believe this is a temporary phase for this buoyant travel community.
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US Stock Market: Investors turn to corporate earnings for clues on future market direction
US equities enter a crucial week as heavy earnings flow tests the strength of the recent rally. Strong corporate results may sustain bullish sentiment, but elevated oil prices, geopolitical risks, and interest rate uncertainty continue to pose challenges, even as markets rebound sharply and approach record highs amid improving investor confidence globally.

U.S. Stock Market prediction for Monday: S&P 500, Dow Jones, Nasdaq set for volatile trading, to be driven by these factors
U.S. Stock Market today: Oil prices have jumped, and the U.S. dollar rose. S&P 500, Dow Jones, Nasdaq futures fell in the pre-market trading.

Why are hospital stocks defying market volatility? Demand, beds and growth plans
Over the past five years, the sector has delivered strong growth, with revenues rising about 15.5% annually between FY2019-20 and FY2024-25, while EBITDA (Earnings before interest, taxes, depreciation and amortization) grew faster at around 25%. This was driven by higher insurance-led payments ensuring steadier revenues, strong demand for profitable inpatient care, and aggressive expansion in beds and facilities.

NSE factor indices 2026: Value strategy outperforms in market slump, 10-year data highlights need for diversification across factors
The annual returns are ranked for 6 key NSE factor indices, with a broad-based index, Nifty 500, thrown in for comparison. This map shows that no single-factor strategy consistently outperforms, making a strong case for diversification. By Sameer Bhardwaj.

IPOs could raise up to $25 billion in 2026, too, despite D-St caution
India's primary market anticipates a strong showing in 2026 with several large IPOs. Companies like Jio Platforms, National Stock Exchange, Zepto, PhonePe, Manipal Hospitals, and SBI Funds Management are set to launch. These issuances could collectively raise around ₹1 lakh crore. While deal numbers may decrease, the overall value is expected to remain robust.

Ahead of Market: 10 things that will decide stock market action on Monday
Indian equities ended higher, led by consumer and metal stocks, while IT lagged due to weak earnings. Nifty and Sensex posted gains with positive market breadth. Analysts remain constructive, recommending a buy-on-dips approach as momentum holds, with key resistance and support levels guiding near-term direction.

Aluminium prices at record highs: What’s driving the rally and what’s next?
Aluminium prices have surged to multi-year highs, driven by strong demand, supply constraints, and rising energy costs. Geopolitical tensions and declining inventories have added volatility and a risk premium. With China’s demand robust and supply tight, the outlook remains firm, though risks from easing tensions or slowdown persist.

Why are US stock market futures up now, and will Dow Jones, S&P 500 and Nasdaq continue to stay in green or turn red again? Wall Street futures, US stocks to watch, analysts insights, market outlook and what should investors do now
Why are US stock market futures up now, and will Dow Jones, S&P 500 and Nasdaq continue to stay in green or turn red again? US stock futures moved higher as hopes of Middle East peace improved investor mood. Technology stocks gained interest again while investors tracked earnings and oil supply risks. Markets may stay supported if talks continue. However, risks remain from Iran talks and oil supply disruptions.

Has Nifty bottomed out? ICICI Securities dissects chart patterns, predicts these 21 stocks could outperform
After an 18-month consolidation and a 16% correction, ICICI Securities says Nifty 50 may have formed a durable bottom, supported by historical patterns and strong technical levels. The brokerage expects potential upside ahead and highlights banks, energy names and select midcaps as likely outperformers in the next market upcycle.

ETMarkets AIF Talk| 3M framework helps us identify sustainable compounders: Rajesh Kothari
Amid market volatility, Rajesh Kothari advocates a disciplined stock-picking approach using his 3M framework—Market Size, Market Share, and Margin of Safety—to identify high-quality companies with strong long-term compounding potential.

Best aggressive hybrid mutual funds to invest in April 2026
Hybrid mutual funds, particularly aggressive hybrid schemes, offer resilience in volatile markets due to their equity and debt mix. These funds, mandated to invest 65-80% in stocks and 20-35% in debt, help conservative equity investors manage risk while aiming for wealth creation. Regular profit booking by fund managers can also enhance returns.

Stock market bulls see signs rally could endure after S&P 500 back at highs
US stocks have rebounded to record highs after the Iran war-driven selloff, with momentum indicators suggesting further upside. Hedge fund buying, bullish options positioning, and volatility-linked inflows are supporting the rally. Historical data shows the S&P 500 often extends gains after recovering from 5–10% pullbacks, reinforcing bullish sentiment.

Ahead of Market: 10 things that will decide stock market action on Friday
Sensex and Nifty ended lower in a volatile session as profit booking in banking stocks erased early gains. Despite easing volatility and supportive global cues, caution persists due to geopolitical uncertainties, while technical indicators suggest a bullish trend with near-term consolidation likely.

Why are US stock market futures up today, and will Dow Jones, S&P 500 and Nasdaq stay in green or turn red again? Wall Street prediction, US stocks to watch, analysts insights, market outlook and what should investors do now
Why are US stock market futures up today, and will Dow Jones, S&P 500 and Nasdaq stay in green or turn red again? Futures rise as investors track Middle East diplomacy and earnings season. Analysts say sentiment improved after strong bank results and ceasefire talks. Markets remain sensitive to geopolitical news and company earnings. Traders now watch key results and global developments.

Seasoned market investors enjoy market volatility while some young retail entrants exit: ANMI President Kamlesh Shroff
ANMI President Kamlesh Shroff said recent market volatility is unsettling for new investors, who may exit after experiencing sharp swings for the first time, while seasoned investors tend to navigate and even benefit from such phases.

War or no war: 5 ways to profit in a volatile stock market driven by geopolitics
Markets have been driven more by geopolitical headlines than fundamentals in recent weeks, with sharp swings triggered by developments around the Iran conflict. Despite a partial recovery, indices remain below earlier levels and elevated oil prices continue to pose risks. In this volatile environment, experts stress that disciplined investing matters more than trying to predict market moves.

Why is Donald Trump claiming Iran war 'very close to over' just before opening of US stock markets? Full explainer on Iran war, oil prices, Strait of Hormuz blockade, and US stock market outlook
Why is Donald Trump claiming Iran war 'very close to over' just before opening of US stock markets? The Iran war, Strait of Hormuz blockade, oil prices, China role, troop deployment, and US stock market expectations are shaping global markets. The statement comes before US trading hours and signals possible diplomacy. Investors are watching negotiations, shipping routes, and supply disruptions closely as peace talks may restart soon.

Investors pour over Rs 10,000 crore into flexi-cap funds in March. Opportunity or overcrowding concern?
Flexi-cap mutual funds attracted record inflows in March, reflecting strong investor demand for diversified and flexible equity strategies amid market volatility. Experts view the surge as a sign of growing confidence in the category, driven by its ability to dynamically allocate across market caps during uncertain times. While concerns about overcrowding remain, the trend largely indicates disciplined investing and a preference for flexibility rather than momentum chasing.

ETMarkets Smart Talk | FY27 volatility a phase of adjustment, not a trend reversal; India’s growth story intact: Rajesh Iyer
FY27 begins with market volatility due to geopolitical tensions and rising oil prices, but experts see it as an adjustment phase. India's strong structural growth, supported by domestic consumption and public capex, offers constructive medium- to long-term prospects with stock-specific opportunities.

Assets monetisation in focus to bridge potential selloff gap
Amid market volatility linked to the Iran conflict and delays in the IDBI Bank sale, the government plans to accelerate asset monetisation to bridge potential revenue gaps. Stake sales in Life Insurance Corporation of India may also face headwinds, making monetisation a key fiscal lever this year.

Why are US stock market futures up today, and will S&P 500, Dow Jones and Nasdaq stay in green or turn red again? Wall Street futures, US stocks to watch, analysts insights, market outlook
Why are US stock market futures up today, and will S&P 500, Dow Jones and Nasdaq stay in green or turn red again? Futures moved higher as investors reacted to hopes of de-escalation in Middle East tensions, awaited key inflation data, and prepared for major corporate earnings. Markets remain sensitive to Federal Reserve signals, fuel-driven inflation, and company guidance, which will decide whether the rally continues or markets turn red again in the coming days.

ETMarkets Smart Talk| Financials, consumer discretionary, metals to drive FY27 growth: Rahul Bhuskute
Despite a volatile start to FY27 driven by geopolitical risks, oil price swings, and rate uncertainty, the outlook for Indian equities remains positive. Rahul Bhuskute of Bharti AXA Life Insurance expects near-term volatility and range-bound markets, but sees sector-led opportunities in financials, consumer discretionary, and metals supporting growth.

Why is GS stock falling today despite strong Goldman Sachs earnings in Q1? Here's what investors need to know
GS stock today: Goldman Sachs reported a strong first quarter with a 19% profit jump and revenue exceeding expectations, driven by dealmaking and equities trading. However, a 10% drop in FICC revenues and broader economic concerns like inflation and recession fears led to investor apprehension, causing the stock to fall.
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