Indian Stock Market
Latest news, explainers and analysis on Indian Stock Market. Tracking 23 stories on Arth Vani.
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Latest on Indian Stock Market

L&T Technology Services' Strong Start to FY27: What it Means for Investors
L&T Technology Services has begun FY27 on a positive note, boosting investor confidence. However, the company's high valuation compared to other top IT firms suggests that future earnings growth must meet high expectations to justify its premium.
SBI Funds Management vs. Alpine Texworld IPO: A Retail Investor's Guide
Two Initial Public Offerings (IPOs), SBI Funds Management and Alpine Texworld, opened for subscription on July 14. This article helps Indian retail investors understand the key differences and potential opportunities in each, based on available information.
Kusumgar IPO Listing Tomorrow: GMP Hints at Strong Dalal Street Debut
Kusumgar IPO shares are set to list on the Indian stock market tomorrow, July 15, 2026. Ahead of its debut, the Grey Market Premium (GMP) for Kusumgar IPO suggests a robust opening for investors.
RCF Plans ₹1,500 Crore FPO: What It Means for Investors
Rashtriya Chemicals and Fertilizers (RCF) shares saw a rise after its board approved a Further Public Offering (FPO) to raise up to ₹1,500 crore. This move aims to issue fresh equity shares, pending various regulatory and shareholder approvals.
Motilal Oswal Tips 10 Nifty Stocks for Q1 Gains: What to Watch
As the Q1FY27 earnings season kicks off, Motilal Oswal anticipates a 10% growth in Nifty earnings, the fastest in a year. The brokerage firm has highlighted ten Nifty stocks, including Bharti Airtel, SBI, and Titan, that it believes offer strong potential for retail investors ahead of their June quarter results.
Sensex, Nifty Rise: What's Driving India's Market Optimism?
Indian stock markets saw a positive close on Friday, with both Sensex and Nifty gaining over 0.3%. This rise was supported by easing geopolitical tensions, a shift in US interest rate expectations, and strong domestic news.

India vs US: Why Wealth Managers Urge NRIs to Bet on Local Markets for the Next Decade
Financial experts are advising Non-Resident Indians (NRIs) to look past short-term US market rallies and stay committed to the Indian growth story. Despite global volatility, India's structural reforms and strong corporate earnings make it a superior long-term wealth creation destination.
BreakingIndian Equities Slip Second Day on Expiry Volatility; Broader Market Advances
Indian stock markets concluded lower for a second consecutive session today, with benchmark indices experiencing dips due to monthly expiry day volatility. While IT stocks saw declines driven by concerns over interest rates, the broader market showed resilience, with auto and consumption sectors posting gains. Analysts anticipate a shift in investor focus towards banking, healthcare, and power sectors as the earnings season approaches.
Analysts Eye 4 Stocks for Buys Despite Nifty's Bearish Close
Despite the Nifty 50 ending 80 points lower with a bearish candle on monthly expiry, analysts are maintaining a positive outlook for the market, particularly above its 21-Day Moving Average. They have identified four specific stocks – ITC Hotels, Aptus Value Housing, Ather Energy, and Solar Industries – citing strong technical indicators and breakout patterns that suggest potential buying opportunities for retail investors.
SIS Board Approves ₹120 Crore Share Buyback, Signals Strong Confidence
SIS, a leading security and facility management services provider, has announced its board's approval for a share buyback program worth up to ₹120 crore. This marks the fifth such buyback since the company's listing, aiming to enhance shareholder value and demonstrate management's belief in the company's valuation.
Global Tensions & Profit Booking Sink Indian Stocks; Analysts Eye 'Buy on Dips'
Indian stock markets dipped recently, ending a two-day gain, as geopolitical tensions between Iran and the US, coupled with investors taking profits, weighed on sentiment. Despite the fall, analysts suggest a 'buy on dips' strategy, especially if the Nifty stays above the 23,800 support level, indicating potential recovery for long-term investors.
Tata Motors PV Experiences Weekly Share Price Dip: What it Means for Investors
Tata Motors PV has recorded a negative return over the past week, indicating a decline in its share price during this period. This development is an important update for individuals who currently own or are closely monitoring the company's shares. While a short-term indicator, investors are advised to integrate this information into their broader investment perspective, considering long-term trends and company fundamentals.
LIC, Asian Paints, HUL Among 35 Stocks Setting Reward Deadlines This Week
Over 30 Indian companies, including blue-chip giants like LIC and Asian Paints, have set their record dates for dividends and bonus issues this week. Investors must hold these shares in their demat accounts by the specified dates to be eligible for these payouts.
Reliance Hits Record ₹10 Lakh Crore Revenue Mark: What Investors Need to Know
Reliance Industries has delivered its strongest-ever annual performance, becoming the first Indian company to cross the ₹10 lakh crore revenue milestone. Despite global economic uncertainty, the conglomerate saw double-digit growth across its retail, digital, and energy businesses.
Mensa Brands Shifts Base to India, Plans IPO Following Public Conversion
Direct-to-consumer giant BRND.ME, formerly known as Mensa Brands, has officially transitioned into a public company. This strategic move, which includes shifting its corporate headquarters to India, sets the stage for a potential stock market debut in the next 12 to 18 months.
Samir Arora’s Investment Playbook: Why Growth Stocks Outshine IT as Oil Prices Cool
Helios Capital’s Samir Arora advises Indian retail investors to shift focus from IT stocks toward high-growth sectors as cooling geopolitical tensions stabilize oil prices. A potential de-escalation in West Asia is expected to remove a major market hurdle, creating a favorable environment for domestic growth stories.
US Rate Cut Hopes Vanish for 2024; UBS Forecasts No Relief Until 2027
Global investment major UBS has significantly pushed back its expectations for US Federal Reserve rate cuts, predicting that interest rates will remain high until 2027. This shift toward a 'higher-for-longer' regime signals a prolonged period of expensive borrowing and potential volatility for Indian markets.
Zydus Lifesciences Expands US Footprint with ₹1,400 Crore Assertio Acquisition
Indian pharmaceutical major Zydus Lifesciences has completed the acquisition of US-based Assertio Holdings for approximately ₹1,400 crore ($166.4 million). The move aims to strengthen Zydus's portfolio in high-value specialty drugs and cancer support therapies.
US Fed Leadership Shift: Why Kevin Warsh's Potential Debut Matters for Indian Markets
As Kevin Warsh emerges as a key candidate for the US Federal Reserve Chair, his approach to interest rates will set the tone for global markets. Indian investors must watch this transition closely, as it directly influences foreign fund inflows and the value of the Rupee.
Smart Money Moves: 84 Stocks Defy ₹5.5 Lakh Crore FII Sell-Off
While headlines are dominated by massive foreign investor exits totaling ₹5.5 lakh crore, a closer look reveals a select group of 84 stocks where institutional holdings are actually rising. These companies have delivered multibagger returns over the last two years, signaling a strategic shift rather than a total exit from India.
Global Oil Prices Hit Two-Month Low on Hopes of US-Iran Peace Deal
Global crude oil prices have fallen to their lowest levels in nearly two months following reports of a potential de-escalation agreement between the U.S. and Iran. This cooling of Middle East tensions could lead to lower fuel costs and improved profit margins for Indian companies.
Inox India Emerges as Local Proxy for Global Space Tech Frenzy
Indian retail investors are turning to Inox India to gain exposure to the booming global space sector following massive interest in the SpaceX IPO. While the domestic company is benefiting from the momentum, experts warn that its current high valuation requires a cautious approach.
FIIs Trim Holdings in 100+ Large-Caps: Why Retail Investors Shouldn't Panic
Foreign Institutional Investors (FIIs) have reduced their stakes in over 100 large-cap Indian stocks over the last two quarters, leading to price drops of up to 40% in some cases. However, select stocks have defied this trend, showing that institutional selling does not always lead to poor market performance.
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