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citywire.com) This pension fund is adding Bitcoin to its portfolio. axios.com) It's hard to plan when the U.S. econbrowser.com) Tariffs or not, some manufacturing will never return to the U.S. (paulkrugman.substack.com) Crypto The SEC could soon allow for in-kind redemptions for Bitcoin and Ethereum ETFs.
Tariffs have become a key focus, disrupting global supply chains and affecting industries that rely on international manufacturing. Seeing your portfolio fluctuate can trigger an emotional response, and the instinct may be to make immediate changes. Does it reflect your risk tolerance and financial plan?
Overview of Sambhv Steel Tubes Limited Sambhv Steel Tubes Limited was established in 2017 and is a key Indian manufacturer of electric resistance welded (ERW) steel pipes and structural tubes. Its manufacturing facility is located in Sarora, Raipur, Chhattisgarh, benefiting from proximity to abundant raw materials.
This glossary of investment terms to know can be your cheat sheet for spotting red flags (and opportunities) in your portfolio, talking shop with your advisor, and making investment decisions based on understanding, not just gut feelings. This glossary breaks down the key types, their risks, and when and why they belong in your portfolio.
Looking ahead, the ESG space certainly seems interesting and offering it a place in your portfolio can help you potentially build wealth as well as make a real change in the world. This has massive implications for how you invest and manage your portfolio. IBM has announced that it plans to invest $150 billion in the U.S.
Even in 2025, many of the world’s richest people are portfolio managers, stock traders, or financial firm founders. Manufacturing & Industrial Goods Underestimated at the expense of flashier industries, manufacturing is a low-key powerhouse.
As we move through the first quarter of 2025, weve had several clients, colleagues, and friends reach out with questions about recent market movements and the impact of tariff discussions on their personal financial plan. Diversifying portfolios across asset classes, sectors, and geographies to reduce concentrated risks.
What was the original plan? And I, and I would love to tell people I had a grand plan. I didn’t really have a grand plan, but my policy degree was at University of Chicago. Melissa Smith : ] So again, did not have a grand plan at the time that I was in policy school at Chicago. Melissa Smith : Absolutely.
The bill introduces sweeping changes that will reshape planning strategies for decades to come, creating both challenges and opportunities for property investors. It’s typically more relevant to small owner-operators than syndicated deals or large-scale property portfolios.
Their focus is on generating alpha with high conviction concentrated portfolios. As you, as you may recall, the insurance companies had huge commercial loan portfolios in those days that they were using to backstop long dated life insurance liabilities. And we, we planned what was gonna happen the next morning.
This is why having a globally diversified portfolio can benefit US-centric investors, as the US won’t always lead. Congrats again to the Dow on an amazing run and to all the investors over the years who have benefited by sticking to their investment plans. Any bets on when it breaks 100k?
economy dominated by manufacturing and heavy industry to one more diversified into services and technology. In the past few decades, professional money management firms have created investment solutions that allow investors to buy shares in portfolios that closely mirror the performance of a certain index. That’s where we come in.
Focus Lighting has major clients like Reliance Retail and DLF, and this deal would enable Panasonic to strengthen its portfolio and enhance its presence in the commercial lighting and fixtures space. The company operates in two main areas: Own Manufactured and Trading. The stock delivered a ROE and ROCE of 11.28 percent and 14.03
The company is recognized for its strong track record in portfolio management, alternative investments, and wealth planning, and the firm is known for its technology-driven approach and robust client servicing. Kfin Technologies is known for its robust technology platform, which supports large-scale investor servicing and compliance.
What was the career plan? 00:01:42 [Speaker Changed] The career plan originally was urban development and transportation. How did that background help when it comes to modeling portfolios or applying those methods of statistical analysis to investing? So it took three years to break even when my business plan had it at one.
Investing directly in defence company stocks can be tough, especially because many of them are expensive, and it’s hard to build a well-balanced portfolio. percent for the regular plan. percent for the regular plan. percent for the regular plan. Check your portfolio today! The return since launch is 12.63
If you are at all interested in fixed income, what the thought process is like in trying to figure out how to structure a portfolio of fixed income, what you think about what affects the returns, you’re gonna see. What was the original career plan? Should we be manufacturing more in the us? I think you are totally right.
Overview of Shanti Gold International Limited Shanti Gold International Limited was incorporated in 2003 and is a Mumbai-based company engaged in manufacturing 22kt CZ casting gold jewellery. Its manufacturing unit spans 13,448.86 The offer aligns with the company’s expansion and modernization plans for future growth.
No, we don’t suggest ever investing purely based on seasonality, but it is important to have a plan and we’d say planning for some August turbulence is the way to go. Manufacturing has lost 37,000 jobs over the last 3 months. A diversified portfolio does not assure a profit or protect against loss in a declining market.
What are the changes to 529 plans in 2025? Higher 401(k) contribution limits: Starting in 2025, individuals can contribute up to $23,500 to their 401(k) plans, marking an increase from the 2024 limit of $23,000. This adjustment also applies to participants in 403(b) plans, governmental 457 plans, and the Federal Thrift Savings Plan.
In your early to mid-30s, your 401(k) portfolio can lean heavily toward equities. However, as you approach your late 30s, say 38 or 39, you may consider thinking about portfolio diversification. A personalized retirement plan can help account for inflation, market volatility, and your shorter time horizon.
We know financial advisors want to focus on protecting and growing their client portfolios and that this is a full-time job. The retail outlets and brand manufacturers need each other to succeed and grow their businesses. Financial advisors are like the manufacturers and Indigo Marketing Agency is like the retailer.
President Trump has plenty more planned. They plan to extend that list to $85 billion of goods over the next few weeks. China is also unlikely to take concrete measures to reduce its reliance on manufacturing and exports. Risks have increased and were in the business of managing risk within the portfolios we manage.
Ather operates through three core business models: large-scale manufacturing of its own intermediates and specialty chemicals; contract research and manufacturing services (CRAMS); and contract or exclusive manufacturing for other companies. As of FY25, the company holds an 11.4 Tata Motors Limited With a market cap of Rs.
With its new clinical trial now underway, United Therapeutics is planning to transplant up to 50 patients with modified pig kidneys in the coming months. If UKidney is successful, United Therapeutics and Martine Rothblatt will be one step closer to realizing the companys vision of manufacturing an endless supply of transplantable organs.
The shares of a Micro-Cap company, specializing in designing, manufacturing, and selling Energy Storage and Power Conditioning Equipment, jumped upto 5 percent upon receiving a Letter of Intent from Bihar State Power Generation Company Limited. With a market capitalization of Rs. per share compared to its previous closing price of Rs.
WA was the career plan, always economics and finance. It was not our plan. And we have 50, a little less than 50 portfolio companies talking to the CEOs of these portfolio companies. That’s a mouthful of places where you’ve worked. And this was in 2005. And it was a 2003 and we lived in Paris.
Simply put, its chaos, and its hard for businesses to plan around any of this. 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).
Canada will spend about $680 billion on border security, pushing ahead with plans that have been in the works. Tariffs Are Likely to Hurt US Manufacturers Ultimately, the 2018 19 trade war hurt US manufacturers. On top of that, China also failed to live up to its commitments to buy US manufactured goods, as I discussed above.
The company is also expanding into electronics and display glass manufacturing. IOCL) is India’s largest commercial energy enterprise, with a broad portfolio covering the entire hydrocarbon value chain. Planned capital expenditure for major projects in 2025-26 stands at US$3.37 is planning to develop 5.3 MMT in FY24.
As more projects are planned and under construction. 2,269 Cr from the Mumbai Metropolitan Region Development Authority (MMRDA) for design, manufacture, supply, and other services for the Mumbai metro line project. With 18 metro systems across 17 cities, including major cities like Delhi, Mumbai, and Bengaluru. 71,568 Crore.
The company manufactures wind turbine generators and related components in various capacities. India plans to add 180–190 GW of renewable capacity by FY2029, with wind contributing 34–36 GW. Its advanced S144 turbine and diversified portfolio position it to gain 5–7% market share over the next 3–5 years.
The company is on track to achieve its 30 GW capacity goal by FY30 with strategic investments in renewables, storage, and equipment manufacturing. GW largely from the acquisition of the O2 portfolio and 550 MW of new renewable projects. In Q1FY26, JSW Energy increased its installed capacity from 10.9 GW to 12.8 GW, adding 1.9
A middling player in the auto industry just a few years ago, the Chinese electric vehicle manufacturer BYD surpassed Tesla last year to become the world’s top-selling E.V. My end-of-week morning train WFH reads: • Why Americans Can’t Buy the World’s Best Electric Car : You’ve probably heard of BYD.
From manufacturing to software and components, various sectors are poised to benefit from this growth wave. Here are 10 stocks that are well-placed to benefit as the EV market picks up pace Electric Vehicle Manufacturing Tata Motors Ltd Market Cap: ₹2,56,688 crore Current Price: ₹697 ROCE: 20% ROE: 28.1% The company has a 26.7%
Investors are watching these companies closely as potential long-term investments in their portfolios, as improving conditions expand opportunities for stocks across the sector. It also provides construction services and manufactures building materials, and as furniture and mattresses, under the Restoplus brand.
India has outlined plans to invest around $82 billion in port and shipping infrastructure by 2035. 18,090 crore in subsidies to support Indian shipyards and make local manufacturing more competitive. 18,090 crore in subsidies to support Indian shipyards and make local manufacturing more competitive. allocating Rs. 4,000 crore).
Looking ahead, the industry is gearing up for the future with plans to invest around Rs. By 2026, that contribution is expected to rise to 5-7 percent of GDP, with the Automotive Mission Plan (2016-26) aiming to create an additional 3.2 Gabriel India is the flagship company of the ANAND Group and a leading auto component manufacturer.
Recently, the company announced a strategic joint venture with HevenDrones Israel to establish a new entity in India to design, manufacture, and supply next-generation drone systems tailored for India’s defence and homeland security landscape, with long-term plans to address global markets.
Was finance and investing always part of the plan? And essentially decided to pivot from that original plan because it became clear to me as I got older that to really make a living as a concert pianist, you need to be the top 1% in the world. It’s about 30% of our portfolio today. 00:02:28 [Speaker Changed] Point one.
Synopsis: A leading renewable energy player with strong manufacturing capacity and a 3.2 GW order book, offering turnkey, EPC, and O&M solutions. GW manufacturing capacity. GW O&M portfolio, it’s positioned for strong growth. Inox Wind Ltd (IWL) is a fully integrated wind energy player with 2.5 It boasts a robust 3.2
This market-leading stock, recognized as the world’s largest manufacturer of pick-and-carry cranes and holding a dominant 63 percent market share in India’s mobile crane segment, is in focus after the stock traded at a discount of 28 percent from its 52-week high. 80–90 crore planned for FY26 and the remainder in FY27–28.
The shares of KEC International Ltd are in focus after the company has announced its plans for FY26. In this article, we will dive into the details of it how it plans its topline, bottomline, and many changes in the upcoming period. percent from its 52-week high of Rs 1,312 per share. percent from its FY24 revenue of Rs 19,914 crores.
Overview of Indogulf Cropsciences Incorporated in 1993, Indogulf Cropsciences Limited is engaged in the business of manufacturing crop protection products, plant nutrients and biologicals in India. It manufactured Spiromesifen technical with 96.5
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