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Gold slips beneath US$4,000/oz as reduced safe-haven demand and trade-deal hopes weigh on bullion's appeal.
European stocks close at record highs on U.S.–China trade optimism, though underlying earnings remain key for continuation.



OPEC+ plans a small December production increase (~137 000 bpd) as it moves to regain market share, raising oversupply concerns.




Novartis to acquire Avidity Biosciences for US$12 billion; acquirer’s stock dips, target soars on biotech pipeline bet.

Asian shares climbed to record highs on U.S.–China trade optimism, while gold and bonds pulled back as risk-on sentiment returned.



Argentina’s assets rally strongly after Milei’s party victory, with peso up 10% and stocks/bonds surging on reform hopes.

US importers are front-loading spring 2026 China-made goods to evade looming tariffs, raising inventory and cost risks.
De-globalisation pressures may trigger a global capital-flow retreat as investors favour local over cross-border allocations.
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Gold slips ~0.8% as a stronger dollar and trade-deal optimism reduce safe-haven demand.
Novartis to acquire Avidity Biosciences for ~US$12 billion; acquirer’s shares dip while target’s soar.
US importers rush spring orders for China-made goods ahead of proposed 100% tariffs, reflecting supply-chain stress from trade uncertainty.
USD rises to ¥153 on trade-deal and Fed-cut hopes, while bitcoin also edges up amid global risk appetite.
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Datavault AI launches tokenised data unions for insurance and accounting sectors, enabling monetisation of anonymised datasets via Web3.
Argentina’s assets rally on reform-backed election win, with the peso up 10 % and stocks/bonds jumping sharply.
Oil rises around US$66/bbl as U.S.–China trade clarity supports demand outlook and alleviates tariff-shock fears.
LSEG partners with Anthropic to offer financial-data tools to Claude users, signalling AI-finance convergence.
Economists forecast 6.7% GDP growth for India in FY26; inflation stays low but investment remains a concern.
Accel and Prosus launch a co-investment initiative for Indian deep-tech startups, offering matched funding up to US$2 million per company.
Five states account for 67.4 % of India’s mutual-fund AAUM, underscoring geographical concentration despite industry growth of 14.4 % YoY.
Aluminium futures reach ₹272.20/kg and crude rises to ₹5,444/bbl in India, raising concerns about margin squeeze and inflation risk.
India’s Madras High Court rules cryptocurrencies are legal property, bolstering rights for digital-asset holders and impacting exchange oversight.
In India, five states contribute more than two-thirds of mutual-fund AUM even as the industry expands 14.4 % YoY in September.
SEBI green-lights four IPOs including Milky Mist as more than 80 draft filings await review, pushing India’s listing momentum.
Indian aluminium futures hit ₹272.20/kg record, crude oil rises to ₹5,444/bbl, raising concern about input-cost pressures and inflation.
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Bitcoin jumps to US$115K amid U.S.–China trade optimism and upcoming inflation data; crypto market cap ~US$3.9 trillion.
Rupee slips 0.4 % to 88.2450/USD as dollar demand from importers and short-covering drive the move.
Foreign investment cap in Indian state-run banks set to be raised to 49 %, signalling greater opening of sector to overseas capital.
India’s Nifty and Sensex gained ~0.5 % as softer U.S. inflation and trade-deal signals lifted sentiment across equities.
Some Indian small-cap mutual funds are down up to 5 % in three months; analysts debate whether this signals a tactical entry point or deeper liquidity issue.
LTIMindtree unveils ‘BlueVerse’ AI unit to drive enterprise automation and expects double-digit FY 26 growth despite muted tech budgets.
India opens anti-dumping probe on TB-drug imports from China and Thailand after domestic producers flag price injury.
India green-lights ~US$626 m in electronics-component projects, targeting import-substitution, job creation and global supply-chain entry.
Gold fell 3% to below $4,000 an ounce as traders favored equities over havens ahead of expected Federal Reserve rate cuts.
Alibaba advanced 2.3% amid revived optimism for Chinese earnings and easing U.S.–China friction, signaling stronger investor appetite for tech exposure.
Sequoia unveiled $950 million across new seed and Series A funds, signaling renewed emphasis on emerging AI, fintech, and cybersecurity startups amid cooling valuations.
Mapletree and Keppel DC REIT posted solid earnings growth, highlighting Singapore’s strength in commercial and data-center real-estate markets.
Bond markets saw lighter long-term Treasury exposure and rising yields as traders positioned cautiously ahead of the Federal Reserve’s policy statement.
MapLight Therapeutics debuted on Nasdaq with a 23% gain after a $259 million IPO, signaling revived appetite for biotech equity offerings.
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Saudi Arabia committed $25 billion to AI infrastructure, adding 6 GW of data centers and partnerships with Huawei, Oracle, and NVIDIA under Vision 2030.
Stocks across Asia and Europe advanced after progress in U.S.–China trade talks boosted global risk appetite and reduced safe-haven demand.
Microsoft, Alphabet, Amazon, and Meta plan $400 B in AI infrastructure spending, boosting data-center capacity and tightening competition despite rising costs.
Navan and MapLight Therapeutics raised $1.17 B combined in IPO debuts, signaling revived US listing activity and improving risk appetite after the shutdown.
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JPMorgan invested $75 million in Perpetua Corp to expand U.S. gold and antimony mining capacity under the Stibnite Project, boosting critical-mineral security.
P&G, McDonald’s, and Coca-Cola gained more than 2%, helping the Dow rise as investors shifted toward dependable consumer-staple leaders.
Washington and Beijing suspended tariffs on key minerals, easing supply-chain stress and fueling optimism ahead of broader trade-framework talks.
Spacewood raised ₹300 crore from A91 Partners at a ₹1,200 crore valuation to scale manufacturing, retail presence, and digital expansion nationwide.
Ledn’s $1 B loan milestone highlights rising institutional demand for Bitcoin-secured financing and growing regulatory alignment in the crypto-credit market.
BNB climbed after Binance’s $1.69 B burn boosted its market cap to $161 B, renewing confidence in the token’s supply discipline and DeFi network health.
Bitcoin advanced past $115,000 on renewed futures longs and ETF inflows, reflecting trader confidence in an easier Fed stance and improved liquidity.
Despite 2025’s US$14.2 billion IPO wave, the Nifty has gained only around 6% YTD, reflecting speculative listings and muted institutional follow-through.
A temporary U.S.–China tariff pause improved global sentiment, stabilizing metal prices and strengthening supply-chain confidence across manufacturing-driven economies.



New entrant The Wealth Company MF raised ₹2,000 crore from four fund offerings, signaling strong investor confidence in emerging active managers.

India’s mutual fund assets hit ₹75.6 lakh crore as SIP flows sustained momentum despite large institutional redemptions from debt schemes.
Meta will invest $1.5 billion in a Texas AI datacenter, targeting 2026 operations to expand training and inference capacity despite higher near-term costs.
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Regional bank results were mixed; margin compression and higher funding costs persisted, while conservative growth outlooks kept shares selective across the group.
Skepticism around Oracle’s long-term cloud targets pressured shares, with analysts wanting firmer milestones on backlog conversion, OCI utilization, and margin trajectory.
Qualcomm unveiled two AI chips for data centers, targeting enterprise workloads and positioning itself as a challenger to Nvidia and Intel in AI infrastructure.
Curefoods gained SEBI approval for an ₹800-crore IPO; final terms and dates await formal disclosures.
Investors scaled back exposure to long-term Treasuries before an expected Fed cut, focusing on mid-tenor bonds amid uncertainty over balance-sheet and yield-curve direction.
Lenskart plans an IPO worth ₹70,000 crore, combining a fresh issue and offer for sale, with the listing expected between October 31 and November 4.
President Petr Pavel tapped ANO’s Andrej Babiš to start coalition talks, setting up negotiations with right-wing partners toward a working parliamentary majority.
New approvals worth about $626 million target PCBs, modules and materials, supporting India’s electronics supply-chain strategy under PLI and semiconductor initiatives.
SEBI clarified mutual funds cannot buy pre-IPO placements, restricting participation to IPO and anchor tranches to avoid exposure to unlisted shares.
Tesla cautioned shareholders that rejecting Musk’s record pay plan may disrupt leadership continuity and influence broader corporate-governance standards across U.S. tech firms.
U.S. stock index futures set fresh records on U.S.–China optimism, with attention turning to Big Tech earnings and a likely Federal Reserve rate cut this week.
Global GDP growth for 2026 was cut to 2.6% as trade and inflation risks persist, though lower oil prices and policy support temper slowdown fears.
Dhan raised $120 million at a $1 billion valuation to expand into insurance and lending, underscoring investor confidence in India’s fintech sector.
SBI Cards’ Q2FY26 revenue rose 12% QoQ, led by 15% growth in digital transactions and stable margins driven by retail credit expansion.
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Indian benchmarks may remain stable with Nifty holding 25,600 support and resistance near 25,950 amid global optimism and sectoral consolidation signals.
Krishival Foods sanctioned a ₹100-crore rights issue to expand dairy processing and reduce debt, signaling rising equity interest in consumer-staple mid-caps.
Brigade Enterprises sealed a ₹1,000-crore Chennai project to expand its luxury-housing portfolio and reinforce its leadership in South India’s real-estate market.
HCL Technologies joined MIT Media Lab to co-develop automation and responsible-AI frameworks, targeting enterprise adoption and deepening Indo-U.S. technology research ties.
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Global stocks split directionally after Trump’s trade-deal remarks, with Asian tech and energy shares rising as Europe and U.S. futures showed caution.
A government study reaffirmed India’s FY25 growth above 7 percent, citing strong demand, tax cuts, and expanding exports despite persistent U.S.-tariff challenges.
Indian mutual funds cut stakes in multiple large- and mid-caps—up to 70%—redirecting exposure toward defensives like FMCG and banking amid valuation concerns.
Shares of Shriram Properties advanced 6% following a new Chennai project agreement expected to strengthen cash flow and revive housing-sector confidence.
Brokerages flagged RIL, Dr Reddy’s, Coforge, HUDCO, and Concor as potential gainers amid Asian optimism and improving global trade sentiment.
Indian equities surged with the Sensex up 567 points, buoyed by U.S.–China trade hopes and Fed-cut bets alongside robust domestic fundamentals.
GIFT Nifty futures advanced 271 points to 26,087, mirroring Asian strength as Nikkei topped 50,000 and U.S. stocks gained on Fed-cut optimism.
India green-lights US$626 m in electronics-component manufacturing projects aimed at import-substitution and job creation.
India’s growth forecast remains firm as domestic demand and export diversification offset external pressures and inflation remains manageable.
India’s IPO pipeline could raise ~Rs 40,000 crore in the next two months as dozens of companies prepare to list.
SEBI halts Sterlite Electric’s IPO ahead of listing, citing unspecified reasons in a busy Indian primary-market phase.
Indian automaker sector likely to post ~15 % profit growth in Q2 after five weak quarters, aided by two-wheelers, tractors & exports.
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Adani Energy sees net profit fall 21 % to ₹534 crore in Q2; revenue up 7 % but cost pressures persist.
Indian Oil returns to profit (₹76.10 bn) in Q2 thanks to stronger refining margins and a 4 % revenue lift.
Aluminium futures hit record ₹272.20/kg and crude oil rose to ₹5,444/bbl in India, driven by demand pickup and supply concerns.
Startup Hydgen raises US$5 m in a pre-Series A round, targeting on-site green hydrogen solutions for industrial users in India.
Sensex rose 567 points and Nifty closed above 25,950 as broad-based gains kicked in amid global trade and rate-cut optimism.
Analyst recommends CESC, GPIL and Raymond Realty as buy-calls today, while flagging Nifty support near 25,400 amid cautious sentiment.
India will launch a 2022-23-base GDP series next year to better capture the digital economy, gig work and e-commerce activity.
Indian mutual-fund houses aim for 8-12% returns and emphasise technology and new-investor segments, according to industry summit.
India's regulator bars mutual funds from pre-IPO placements to boost fairness in the listing process and improve transparency.
Twelve Indian equity funds have NAVs over ₹1,000 and have posted over 15% CAGR since launch, highlighting long-term performance strength.
India’s growth forecast stays firm as domestic demand and export diversification offset external pressures and inflation remains manageable.
Madras High Court rules crypto is “property” under law, enhancing legal clarity for digital-assets custody, tax and insolvency treatment in India.
Lenskart founder sells ~2.05 crore shares (~₹824 crore) ahead of IPO, retains ~8.78 % ownership; issue opens Oct 31.
12 early-stage startups in Rajasthan will receive total funding of ₹1.8 crore under university-government incubation scheme.
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Strategist expects Nifty to hit 29,000-30,000 this Samvat year (+15-20%), led by liquidity, policy support and comeback across sectors.

India’s market watchers expect cautious optimism for 27-31 Oct, with FPI flows of US$97 m and major triggers including Fed decision and earnings.
Fractal Analytics targets a ₹4,900 crore IPO at about US$3 billion valuation, combining fresh issue and OFS ahead of listing wave.
Amazon India’s sellers hit US$20 bn exports despite tariffs; target US$80 bn by 2030 as India boosts manufacturing-led export push.
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Five states hold 67%+ of India’s mutual-fund AUM; Maharashtra leads with ₹20.5 lakh crore, showing metro dominance in investor flows.
India’s fintech startups secured over one-third of Asian deal count in Q3, though funding value fell ~19%.
India’s startup deals this week fell to ~US$300 m after a spike, led by Uniphore’s US$260 m round in enterprise AI.
India’s gold fell below ₹1.23 lakh/10 g and silver continued down amid global cooling; import-heavy economy exposed to commodity swings.
SEBI clears eight new IPOs including Avaada Electro, ARCIL and Shadowfax—listing pipeline broadening beyond consumer names.
India leads global crypto adoption for third year; U.S. shows 50% volume growth, underlining structural digital-asset strengths.



Oil and base-metal prices rise on trade optimism and supply fears; industrial-metal strength signals revival in demand.




SEBI bars Indian mutual funds from pre-IPO placements as market prepares for heavy IPO pipeline in Q4 2025.




Global investors may shift capital back home, risking emerging-market flows; India needs reforms and growth to stay attractive.




Foreign funds flowed roughly ₹8,276 crore into Indian banks, autos and metals in early October — concentrated but selective buying.




Rupee and government bond yields in India will be driven by Fed signals and the size of foreign flows this week.




Indian markets may consolidate: Nifty could test 25,700 support, with further decline toward 25,500 if profit-booking accelerates.

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Asian stocks climbed to record highs as U.S.-China trade-deal hopes and softer inflation boosted market risk appetite.




Indian automakers may see double-digit profit growth in Q2 after five weak quarters, led by two-wheelers and tractors.




Analyst recommends CESC, GPIL and Raymond Realty as top buys today; highlights Nifty support and selective approach amid volatility.




India saw over 11,000 startup closures in 2025 — a 30% surge — pointing to tougher funding and execution conditions.




Accel and Prosus partner to back early-stage Indian deep-tech startups, with matched investments and focus on LeapTech ventures.




Sensex rises ~720 pts, Nifty tops 26,000 on global cues; broad-based rally led by metals and oil & gas.




Mumbai holds Rs 20.5 trillion of India’s Rs 75.6 trillion mutual-fund AUM; B30 cities’ assets rose 2.6% in September.




India-equity mutual funds posted USD 175 m outflows last week, marking a seventh consecutive week of redemptions, led by large-cap funds.




India ranks among the top-10 equity markets over the past decade despite 2025 underperformance, while Latin America leads current gains.




India is becoming a global AI-infrastructure hub with $22 billion in recent commitments, shifting from service-offshoring to data-centre build-out.




Honda takes stake in India’s OMC Power to repurpose EV batteries for clean-energy storage, marking its entry into India’s distributed renewables market.




Coforge posts 31.7% revenue growth and ₹3.76 billion profit in Q2, as deal-wins and client spending improve though bookings slightly slip.




Hatsun Agro’s Q2 profit soared 70 % and revenue rose 17 %; its stock jumped 20 % to nine-month high amid strong investor interest.




Kotak Mahindra Bank’s Q2 profit fell short, weighed by 43 % higher provisions despite loan growth, raising concerns over margins and re-rating potential.

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Supreme Industries’ Q2 profit fell 20% to ₹164.74 crore while revenue rose 5%; weak demand and cost pressure weigh.




Chennai Petroleum posts ₹719 crore profit in Q2FY26 after prior year loss; revenue jumps 39% on margin recovery.




LTIMindtree reports 12% profit rise and $1.59bn deal wins in Q2, bolstered by strong BFSI demand and U.S. growth.




Hindalco jumps over 6% with metal-price rebound lifting earnings expectations ahead of its Q2 results.

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Indian stocks rose as US rate-cut expectations and trade-deal progress spurred broad sector gains; mid- and small-caps led modestly.




India is seeing five new IPOs this week, targeting over ₹45,000 crore in fundraising, driven by strong investor interest and a busy primary market.




Capital-markets stocks have returned ~30% in one year, led by BSE’s ~70% gain, amid rising digitalisation and investor participation.




Rupee near ₹87.99/USD after RBI intervention and importer demand; gains supported by equities but global dollar and flows remain risks.




India’s small-cap MF category fell as much as 5% in three months; some experts see a buying window, others urge focus on balance-sheet strength.




Hydgen raised US$5 m for on-site green-hydrogen tech targeted at industry clients, marking continued climate-tech investor interest in India.




India-focused equity funds saw USD 175 m outflows last week, while gold/commodities pulled in nearly USD 20 bn amid cautious investor mood.

Despite strong growth, Lenskart IPO comes with risks like China-dependence and governance disclosures, which investors should weigh before subscribing.
Lenskart IPO proceeds are earmarked for store expansion, tech investment and global footprint, supporting growth ambition in eyewear market.
India bars mutual funds from pre-IPO placements to curb illiquid risk ahead of a major listing wave.
Orkla India sets price band ₹695–730 for its ₹1,667 crore OFS IPO, with strong grey-market premium ahead of October 29 launch.
Lenskart sets IPO price band ₹382–402, targeting ₹72.78 billion raise and ~$7.9 bn valuation; bids from Oct 31 to Nov 4.
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India boosts financial-sector reforms in response to $17 bn foreign outflows, with steps to improve fund access and capital buffers.
Global equities’ futures jump on trade-tension easing and rate-cut hopes, lifting Indian markets at the open.
FII investment in Indian IPOs this year has fallen 55% to Rs 54,277 crore as weaker listings and rich valuations reduce foreign appetite.
Accel and Prosus each commit $1 m to early-stage Indian leap-tech startups via new accelerator track, signaling institutional pre-seed interest amid slow venture flows.
Crypto cap reached $3.9 tn as Bitcoin tops $115k; accumulation by whales and easing tensions are cited, but broad adoption remains limited.
Market analysts identified key stocks for Oct 27, focusing on banks and mids with upside potential — amid mixed global cues and domestic risk factors.
Goldman Sachs projects AI-data-centre growth will spike global power demand 160% by 2030 — affecting energy, utilities and infrastructure investment.
Banking & PSU debt mutual funds are being recommended as a safer fixed-income play amid volatility and interest-rate uncertainty.
Seasonal AQI spikes in Indian metros threaten worker health, raise healthcare costs and may subtly drag economic growth.
Metro AQI surges are impacting worker health and productivity, increasing pressure on health systems and potentially slowing economic growth.
IEA warns LNG supply surge will shift market power to buyers, forcing lower prices — positive for Asian importers, pressure on suppliers.
Rupee rally gains traction thanks to RBI backing and softer U.S. inflation, while flows and Fed cues remain key drivers.
India fast-tracks financial-sector reforms after $17 billion outflows; easing norms, opening access to foreign funds, but deeper fixes still needed.
OPEC+ to raise output by 300,000 bpd from January 2026, keeping Brent near $92 and supporting balanced inflation-energy objectives across global markets.
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Lenskart will launch its ₹7,278 crore IPO on October 31 at ₹382–₹402 per share, targeting ₹2,150 crore fresh issue for store and tech expansion.
Google’s $9 billion Oklahoma data-center expansion boosts AI compute capacity by 15% and supports sustainable model development under renewable-power commitments.
U.S.–China negotiators neared consensus on a $150 billion trade framework, easing tariff strains and signaling broader economic stabilization before the Seoul summit.
India’s non-smartphone electronics exports rose 32% to $14 billion in FY25, solidifying the nation’s shift toward advanced, high-margin manufacturing sectors.
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Spacewood to raise $36 million from A91 Partners at ₹1,200 crore valuation to expand capacity and retail presence across India.
Spacewood to raise $36 million from A91 Partners at ₹1,200 crore valuation to expand capacity and retail presence across India.
FPIs bought ₹1,880 crore worth of Indian equities in October, reversing prior outflows amid improved yields and stable policy signals.
India’s smartphone exports hit $24.14 billion in FY25, rising 55% year-on-year and surpassing petroleum and diamonds as top export categories.
BlackRock reported $205 billion of inflows, boosting AUM to $10.8 trillion as institutional investors favored private credit and infrastructure assets amid rate uncertainty.
India launched reforms to attract investors after $17 billion in outflows, targeting bond-market depth, FPI access, and sustainable-finance initiatives.
Knack raised $15 million in Series B funding after tripling revenue to $8.2 million, targeting AI-driven global expansion across more than 100 universities.
Estuary raised $17 million to automate real-time AI data pipeline management and simplify multi-cloud analytics integration for enterprise customers.
VitriVax secured $17.25 million to scale heat-resistant vaccine technology, targeting cost-efficient global distribution and expanded clinical trials for key infectious diseases.
Institutions injected $480 million into crypto ETFs last week, raising total assets to $67.2 billion and signaling revived confidence in regulated digital investments.
HASH token added 0.6% to reach $1.69B, buoyed by banking pilots in tokenized credit and real-estate products despite subdued retail participation.
Mantle’s 6.7% rise to $5.67B led Layer-2 tokens higher, supported by strong network use and renewed DeFi inflows amid cautious global sentiment.
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Westpac was fined A$13 million for irresponsible mortgage practices, as Australia tightens banking oversight and enforces higher consumer-protection standards.
India launched sweeping sector reforms to counter $17 billion in capital outflows, targeting regulatory simplification and stronger investor confidence for FY26 recovery.
President Milei’s midterm win empowers Argentina to pursue austerity, privatization, and currency reforms to fight inflation and stabilize its fragile economy.
International fund-of-funds earned 33–72% returns in one year, with U.S.-tech focused schemes far outpacing Nifty and retaining strong momentum into FY26.
Indian investors poured ₹1,660 crore into overseas mutual funds in Q3, reversing prior outflows and signaling revived demand for global diversification opportunities.
Ericsson’s shares rose 14% after Q3 results beat estimates, with 5G demand and operational efficiencies driving strong recovery across core network divisions.
HSBC is setting aside $1.1B after a Luxembourg court ruling tied to Madoff-era claims, clarifying legal exposure while slightly trimming quarterly profits.
Morgan Stanley achieved a 45% profit increase in Q3, driven by $6.28B trading and $2.1B advisory revenues, sending shares higher before market open.
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