Investor Behavior
Latest news, explainers and analysis on Investor Behavior. Tracking 5 stories on Arth Vani.
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Latest on Investor Behavior

Balanced Hybrid Funds Attract More Inflows Than Aggressive Hybrids in August 2026
Balanced hybrid mutual funds saw higher net inflows in August 2026 compared to aggressive hybrid funds, despite aggressive funds delivering better returns. This trend suggests a preference among Indian retail investors for stability and lower risk in their hybrid fund choices.

Elon Musk Tweet Triggers Misplaced Investor Fear for Howmet Aerospace
A recent tweet by Elon Musk reportedly caused unwarranted alarm among investors of Howmet Aerospace. While the exact details of the tweet and its market impact are unavailable, the incident highlights how celebrity social media activity can be misinterpreted, leading to swift and sometimes baseless market reactions.
BreakingWhy Indian Investors Halt SIPs During Market Falls, Despite Long-Term Benefits
Many Indian investors stop their Systematic Investment Plans (SIPs) during stock market downturns, driven by fear and anxiety. This emotional response often overrides their understanding of long-term investment principles, potentially hindering wealth creation.

South Korean Investors Pour into US Stocks, Fleeing Home Market
South Korean stock investors are aggressively shifting their capital into US financial markets, making what are described as "absolutely crazy" bets. This exodus from their domestic market occurs even as global investors from other countries are simultaneously increasing their investments in South Korea's shares. The trend highlights a significant divergence in market sentiment between local and international investors.

American Airlines Stock Jumps 6.8% Despite Lowered Full-Year Forecast
American Airlines surprisingly saw its stock price rise by 6.8% following an announcement where the company cut its full-year financial guidance. This counter-intuitive market reaction highlights how stock movements can sometimes defy immediate expectations, often due to investors having already factored in negative news or reacting to other undisclosed positive factors.
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