Synopsis: The article includes a list of stocks that FIIs are holding more than 30 percent of from different industries. Midcap stocks are shares of medium-sized companies in terms of market value. When Foreign Institutional Investors own more than 30 percent of these...
Beta is a financial metric that measures the volatility or risk of an individual stock or asset in relation to the overall market. It indicates how much a stock’s price is expected to change in response to market movements. A beta of 1 means the stock moves in...
In Q2 FY26, Goldman Sachs India Limited has raised its stake in two prominent stocks, investing a total of Rs. 574 crore. This strategic move reflects the institution’s growing confidence in these companies’ growth prospects. Investors may view this as a signal to...
Synopsis: The article features large-cap stocks from sectors such as telecommunications, automobiles, pharmaceuticals, and FMCG, each with a PEG ratio under 1. The PEG ratio is used to evaluate a stock’s actual worth. A low PEG suggests the stock may be undervalued...
Mutual funds raising stakes in select stocks during the September quarter signals growing institutional confidence and a positive earnings outlook. For investors, this trend highlights emerging opportunities backed by professional conviction, while for the industry,...
Synopsis: PNB Housing, Welspun Corp, Sundram Fasteners, Kansai Nerolac Paints, and CAMS, these companies have a proven track record of strong returns, solid business models, and market leadership in their sectors. With current P/E ratios below their 5-year median...
SYNOPSIS:The article compares India’s IT giants, Infosys and TCS, analysing revenue, segment performance, financials, workforce metrics, and dividends, highlighting growth trends, emerging hubs, and strategic positioning in the evolving IT sector. The IT and BPM...
Synopsis: The articles focus on large-cap stocks with a debt-to-equity ratio below 1 across various sectors, including IT, FMCG, cables, and automobiles. A debt-to-equity ratio below 1 indicates a company primarily uses its own funds rather than debt, signalling...
Listed below is one of the multi-bagger stocks that specializes in designing, developing, and manufacturing high-performance electronic and electro-mechanical solutions for the defense, aerospace, and homeland security sectors. The stock has delivered multi-bagger...
Motilal Oswal Investment Management has picked 10 stocks as its Diwali picks for Samvat 2082, offering up to 36 percent upside potential. The firm believes the second half of FY26 will mark a shift from the current low single-digit earnings growth to a sustainable...
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