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Manufacturing decreased slightly on net, and a number of Districts said manufacturers were stockpiling inventories in anticipation of higher tariffs. The nonfinancial services sector grew slightly overall, with Districts highlighting growth in leisure and hospitality and transportation, notably air travel.
Goldman Sachs is a leading global investment banking, securities, and asset management firm serving corporations, financial institutions, governments, and individuals worldwide. The Bank caters to a range of banking services covering commercial and investment banking and transactional/branch banking.
Cohance Lifesciences Cohance Lifesciences is engaged in the business of development and manufacturing of New Chemical Entity (NCE) based Intermediates, Active Pharmaceutical Ingredients (API), Specialty Chemicals, and formulated drugs under contract research and manufacturingservices for global pharmaceutical, biotechnology, and chemical companies.
Analysts expect ESG assets to soar to between $35 and $50 trillion by 2030. In 2025, you can expect to see smarter, faster, and more personalized investment platforms that use AI to tailor financial advice and automate strategies for investors. This is being done to protect domestic industries and boost local manufacturing.
Improved financing also supports economic activity and encourages manufacturers to invest in new models and expand capacity. NBFC Stocks in this sector that stand to benefit from the rate cuts include Bajaj Finance, Jio FinancialServices, PFC, REC, and IREDA.
Futures and Options (F&O) allow traders to buy or sell assets like stocks, commodities, or indices at a predetermined price on a future date. Amber Enterprises India Limited Amber Enterprises India is a leading Indian manufacturer of air conditioning (AC) components and finished goods for OEMs and ODMs.
The good news is we do anticipate the US may play catch up the rest of 2025, but big picture, this is a global bull market and investors are being rewarded for being in risk assets. Employment in cyclical areas like professional and business services, information (including technology jobs), and manufacturing fell by 24,000.
And at the same time, we are often working with our asset management colleagues when companies have, you know, large cash balances that they need to invest and our private banking colleagues. 00:40:17 If you look at Germany, obviously the largest, you know, economy in Europe, it’s very still sort of heavily manufacturing based.
HDFC Bank Ltd HDFC Bank is one of India’s leading private sector banks, providing a wide range of financialservices including retail banking, wholesale banking, and treasury operations. It is known for its strong digital banking presence, extensive branch network, and robust asset quality. 1 per share. 1 per share.
Azad Engineering Limited was established in 1983 and manufactures highly engineered, mission-critical components and turbines for the aerospace, defence, energy, and oil and gas industries, supplying original equipment manufacturers (OEMs) globally from its advanced facilities in Hyderabad, Telangana. percent, or 13.61 lakh shares.
Here are the three stocks in which the promoter sold its stake: 360 ONE WAM Limited 360 ONE WAM Limited is a leading Indian wealth and asset management company headquartered in Mumbai. The company serves high-net-worth individuals, family offices, and institutional clients.
Declines were primarily caused by a fresh round of tariff threats, including 50% on the European Union (delayed over the weekend to July 9) and 25% on iPhones manufactured outside of the United States (Apple was down 9.6% The S&P 500 fell 2.6% for the week).
AU Small Finance Bank Limited is engaged in providing a range of banking and financialservices, including retail banking, wholesale banking and treasury operations and other services. Marksans Pharma Limited is primarily engaged in the business of research, manufacture, marketing and sale of pharmaceutical formulations.
As shown in one of our favorite charts below, different assets may be the winners or losers across different years or even decades, but a diversified holding is a good starting point for avoiding extremes. But how do you do that without completely retooling your economy towards consumption instead of manufacturing?
More worryingly, fixed nonresidential investment, i.e. business investment, fell 2.2%, driven by an 8% drop in equipment spending and a 2% decline in investment into structures like manufacturing facilities and other buildings. Focus On the Big Picture Manufacturing is not a big part of the US economy. Who and What Is DeepSeek?
Volatility Is Normal Investing in stocks doesn’t come easy, and the return premium you get for investing in stocks over bonds (and pretty much most other asset classes over time) in part reflects the fact that stocks are volatile and volatility is hard to stomach. At the same time, we still have longer-term bonds as part of the mix.
Aditya Birla Capital Limited (ABCL) is the financialservices holding company of the Aditya Birla Group, providing a wide range of solutions across loans, insurance, investments, and payments. As a systemically important non-deposit-taking NBFC, ABCL manages assets worth over Rs 5.11 lakh crore as of March 31, 2025.
White paper was about asset backed finance. It hurts those who have debt and it helps those who have assets. And if we don’t have that demand from China for assembly lines and for manufacturing goods and for capital intensive goods, that means that Europe is also in trouble.
Volatility Is Normal Investing in stocks doesn’t come easy, and the return premium you get for investing in stocks over bonds (and pretty much most other asset classes over time) in part reflects the fact that stocks are volatile and volatility is hard to stomach. At the same time, we still have longer-term bonds as part of the mix.
In this article, we look at two stocks, both from the FinancialServices and Metals & Mining sector, recommended by the Trade Brains Portal to buy for an upside potential of more than 25%. At Rs 19,878 crore, net interest income climbed by 27%, and asset quality is significantly increasing. points, or 1.67%.
There’s no decoupling from China, no reshoring of manufacturing, no “External Revenue Service” replacing the IRS, no “Mar-a-Lago” accords (with US debt held by foreign companies restructured to much longer duration). Ultimately, if uncertainty continues, the risk premium on US assets is likely to go up.
The list of 11 Nifty 500 stocks with a Golden Crossover is listed below JM Financial Limited JM Financial Limited was founded in 1973 and is headquartered in Mumbai and is a leading diversified financialservices group. The golden crossover took place on June 26, 2025, at a price of Rs. with decent volumes of 13.64
Futures and Options (F&O) are financial contracts that allow traders to buy or sell assets like stocks, commodities, or indices at a predetermined price on a future date. Chambal Fertilisers and Chemicals Ltd Chambal Fertilisers is one of India’s largest private sector fertilizer producers, primarily manufacturing urea.
Futures and Options (F&O) are financial contracts that allow traders to buy or sell assets like stocks, commodities, or indices at a predetermined price on a future date. Titagarh Rail Systems Ltd Titagarh Rail Systems is a leading manufacturer of rolling stock, including freight wagons, passenger coaches, and metro trains.
HDFC Bank – HDB FinancialServices HDFC Bank , one of India’s leading private sector banks, is preparing to unlock value from its non-banking finance arm, HDB FinancialServices. This move involves HDFC Bank diluting its stake in HDB FinancialServices by nearly 10%. billion as of December 2023.
High Promoter Holding Stocks Under Rs 50 For our study, we’ll read about the business and operations of five companies from various industries such as power generation, financialservices, and textiles. Furthermore, we’ll briefly talk about their financials. So without further ado, let us jump in. 50,074 EPS (TTM) ₹3.9
The global asset manager purchased the company from Essel Group of Companies in August 2019. EPL manufacturers laminated plastic tubes and dispensing systems. This Chennai-headquartered company has a global footprint with 7 manufacturing facilities in India and 2 overseas. City Union Bank FinancialServices 178 13,000.
Every company operating in India works extremely hard to get better in terms of the product/service quality and customer satisfaction that they provide. An organization is generally evaluated on different parameters such as assets, revenue, profits, sales, market value, share price, etc, and is ranked accordingly. ICICI Bank.
Blue chip companies have survived a number of bear phases, market crises, financial troubles, etc. Blue chip companies have a strong balance sheet (a large number of assets compared to liabilities) and a healthy income statement (revenues and profits continuously growing for the last few decades). But they are still going strong.
Our LEI places less emphasis on manufacturing and business sentiment and more on consumer spending, which makes up roughly two-thirds of the economy, than some widely followed LEIs. high technology manufacturing base in the last year has been extraordinary. In addition, the investment in the U.S.
It has a current ratio of 1.32, indicating that its current assets are higher than its current liabilities. It has a very sophisticated manufacturing facility and it invests in the latest advances in technology on an ongoing basis. crores, Geojit FinancialServices is a small-cap company. Market Cap (₹ in Cr) 8,184.01
Thursday’s set of economic data saw initial jobless claims rise to their highest level in a year, alongside a weak manufacturing ISM number. Louis Fed 080224 While the initial reaction to the news has not been positive for risk assets, the world isn’t ending quite yet! Stocks fell and bonds rallied as yields fell. Source: St.
(JPM) is a financial holding corporation that, through its subsidiaries, provides solutions for consumer and commercial banking, investment banking, processing financial transactions, and asset management. The amount of assets under management was $3 trillion. Particulars Amount Particulars Amount CMP (Rs) 634.9
Over the years, the company has emerged as a leading manufacturer of telecom equipment, optical fiber cables, and intelligent power systems. The asset quality ratios demonstrated an improving trend with GNPA at 3.46% and NNPA at 1.73% respectively. The asset quality of the bank has considerably improved in recent years.
The Company earns most of its revenue from the FinancialServices and insurance industries (29.8%), followed by Retail (14.5%) and Communication (12.3%). Staying true to its Motto of Growth is Life the Company has grown immensely from a Textile Manufacturer to a mammoth in the Petrochemical segment. 6,01,356 EPS ₹57.63
Founded in 1960, Elgi Equipments is a manufacturer of industrial air compressors such as oil-lubricated compressors, oil-free electric-powered rotary screw compressors, diesel-powered portable screw compressors, oil-lubricated and oil-free reciprocating compressors, centrifugal compressors, dryers, air receiver tanks, and other air accessories.
The defense CPSU is engaged in the business of manufacturing warships and submarines for the Indian Navy. Additionally, it provides ship repairs and ship refits services. The company provides digital business, product engineering, agile infra & security, IoT, analytics, and digital process transformation services.
First, it manufactures precious and semi-precious stones, paintings, and jewelry carvings. The Company manufactures animal feed such as cattle feed, camel feed, cotton oil cake, mustard oil cake & a lot more. The Company has 3 commissioned manufacturing units. It also receives compensation against a property. in FY22.
Established in 1994, HDFC Bank is India’s largest private sector bank in terms of asset size. It has a stellar asset quality with gross NPAs at only 1.17% of gross advances and net NPAs at only 0.32% of the net advances. Bajaj Finserv is a debt-free company with assets under management of Rs. in terms of advances.
In the industrials space, we tend to shy away from deeply cyclical commoditized businesses and see resilience in companies that typically benefit from a meaningful after-market component or subscription-like revenues from maintenance or service contracts, e.g. Atlas, French Aerospace manufacturer Safran Group, and Kone (Figure 2.)
When he began, PE was a little bit of a niche boutique sort of investment, and over the ensuing 25 years, it has grown to be really a major asset class with giant opportunities that have been expressed by then small, now very large companies, of which Blackstone is one of the largest. It is an institutionalized asset class.
CDSL is one of the two approved depository institutions in the Indian Capital Market.CDSL operates as a financial securities depository in India. CDSL follows an asset-light business model with minimal fixed cost requirements. billion Welspun Group, is one of the largest home textile manufacturers in the world. ROE (%): 15.8
The shareholders’ equity can be found on the balance sheet and is the difference between a company’s assets and liabilities. The company has 26 manufacturing plants situated that located in Europe, North America, South America, Asia/Pacific, and India. Stock P/E 52.22 Debt to Equity Nil Price to Book Value 26.3 Cr EPS 107.7
Bread Financial Holdings Inc (BFH) Bread Financial Holdings, a tech-forward financialservices company, passes Validea’s Lynch model with a remarkable 96% score. The company also boasts a healthy equity-to-assets ratio of 14%, surpassing the 5% minimum threshold Lynch looked for in financial companies.
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