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Even though 2025 has only just begun, there are already big changes unfolding that could impact your wallet. That decision is a departure from their announcement at the September meeting to cut rates a full percentage point in 2025. 2025 Inflation creeps up The U.S. This was also higher than the 2.9
At the Money: Chicago Fed President Austan Goolsbee on Tariffs, Supply Chains and Inflation (March 5, 2025) What is the potential inflation impact of tariffs? To help us unpack all of this and what it means for your portfolio, let’s bring in Austin Goolsbee. So what specific inflation indicators are you watching closely in 2025?
Swings in the financialmarkets also highlight the benefitsand limitationsof diversification. During times of economic, financial, and political uncertainty, investors often wonder where to invest or what changes to make to their portfolio. Aggregate Bond Index isnt enough to ensure your portfolio is properly diversified.
Recession Concerns & Market Volatility: How Financial Advisors Should Communicate With Clients As financial advisors , youre well aware that so far the 2025financialmarket has been more unpredictable than a toddler. Thats where financial advisors come in! They need to hear from you.
The company leverages its extensive spectrum portfolio to ensure reliable connectivity. The post Can Vodafone Idea fall by 85% in 2025? As a key player in India’s telecom landscape, Vi is committed to meeting the country’s growing demand for data and voice services. appeared first on Trade Brains.
Our general view on inflation is that the Fed won the battle already and they won’t declare victory until 2024 or 2025. In the meantime, the overnight rate at 5% puts a lot of pressure on credit markets and this increases the probability of an outlier credit event.
This investment could also help Ultratech Cement enhance its market share in the south region since ICL has a strong presence in South India. million tons of total capacity by the end of FY 2027 and for FY 2025, the company expects to add 15 – 17 million tons of new capacity.
Initially the plant will have a capacity to produce 6GWh by 2025 and they are planning to expand its capacity by 12GWh. Exide aims to offer Green Technology Solutions by providing a “ Cell to Pack” product portfolio for lithium ion batteries. Conclusion Exide industries journey reflects a dedication to innovation and reliability.
Source: Indian Chemicals and Specialty Chemicals Market Report, Frost & Sullivan As for the growth opportunities, international demand is projected to expand at a CAGR of 6.2% to reach $ 6,780 by 2025. to become a $ 330 billion industry by 2025. Have we missed out on anything?
we shall also see their financials, future plans and more Cipla Vs Sun Pharmaceutical Cipla Company Overview Cipla was established in 1935 by Khwaja Abdul Hamied in Mumbai. The company’s portfolio includes complexes and drugs in the respiratory, anti-retroviral, urology, cardiology, anti-infective, CNS, and other key therapeutic fields.
The management has given a target of a cumulative portfolio of 1000 MW by 2025, in line with the Central government’s audacious target of 500 GW of green energy target by 2030. Furthermore, it has more than 116 orders for IPP and CPP projects, out of which 74+ are for CPP further strengthening the future income prospects.
The Indian chemicals market was worth $178 billion in 2019 and is projected to grow by 9.3% annually to $304 billion by 2025. By 2025, the demand for chemicals is anticipated to increase by 9% annually, and by 2030, it is anticipated that the chemical sector would contribute $383 billion to India’s GDP.
Talking about specialty chemicals, the worldwide market was valued at $ 847 billion in 2020 and is expected to grow at a CAGR of 5.2% to $ 1,090 billion by 2025. Thus, India’s commodity chemicals industry is anticipated to touch $137 billion in value by 2025 while the specialty chemicals sector is expected to hit the $148 billion mark.
In addition, it has a considerable renewable energy portfolio. Similarly, Tata Power is foraying into renewable energy and is aggressively increasing its renewable energy portfolio. The company currently has a 30% clean energy portfolio, but it is aiming to have a 40-50% clean energy portfolio by 2025. Adani Power.
Unfortunately, headlines often leave investors wondering what the news means for their portfolio and financial outlook. Stress testing a financial plan or retirement income goals is crucial to help ensure retirees wont run out of money under different conditions in the financialmarkets.
Written by Pavunkumar V M By utilizing the stock screener , stock heatmap , portfolio backtesting , and stock compare tool on the Trade Brains portal, investors gain access to comprehensive tools that enable them to identify the best stocks, also get updated with stock market news , and make well-informed investments.
The company has plans to expand its multi-brand car service centers to over 1,000 locations by 2025 and a network strength of approximately 4000 outlets by 2027. Additionally, since it is a debt-free company, an investor may consider this as a better long-term investment option.
JK tyre focuses on enhancing their sales in electric vehicle (EV) specific tyre range with ultra-low rolling resistance for buses and cars in domestic and international markets. They wanted to expand their geographical footprint further in key markets like Australia, Europe and South Africa by widening their product portfolio offerings.
India is anticipated to achieve a total of US$ 65 billion in textile exports by FY 2025-26 due to the revival in global demand and the implementation of crucial initiatives by the government. This industry contributes 13% of industrial production, 12% of exports and 2.3% of the country’s GDP.
This allows them to enter the international CPaaS market, estimated to be valued at over ₹ 200 billion. Achieve Net Carbon Neutrality by 2025. Certification of all office locations and data centers with ISO 14001 by 2025. Working towards creating a safer, more secure environment for millions of users.
Maruti Suzuki’s product portfolio has some of the mass market Indian names including Baleno, Ignis, Ciaz, WagonR, Dzire, Swift and more. The management plans to launch its EVs in the Indian market by 2025. How comfortable are you with the debt-to-equity ratios of your portfolio stocks? million units per year.
With its solid macroeconomic fundamentals and smart fiscal policies, India ranks fifth in the world in GDP, with a target of USD 5 trillion by 2025. Revenue & Net Profit The financial statement of the company indicates that the revenue has increased by 0.5 Market Cap(Cr) ₹ 1,14,374 EPS 48.38 The Economic Survey predicts a 6.5%
Market Cap (Cr.) Operating Profit Margin 14.418% Net Profit Margin 11.42% Various aspects of industrial and personal life are improved by CG’s portfolio, which includes transformers, switchgear, circuit breakers, network protection & control gear, project engineering, HT and LT motors, drives, and Power Automation Products.
Transformers, switchgear, circuit breakers, network protection and control gear, project engineering, HT and LT motors, drives, power automation products, and turnkey solutions in these areas are all part of the company’s portfolio, which improves many aspects of industrial and personal life. Tube Investments of India Ltd.
As per the estimates of the ICRA, there was a 13-15% growth in the domestic demand for the Indian Tire industry in FY22 and is expected to maintain is expected to expand at a pace of 7-9% between 2022 and 2025. What can investors anticipate from both firms in the future? Share your thoughts in the comments section below.
Over the last decade, AIL has evolved from an Indian company serving global markets to a global company choosing to manufacture out of India. The company ranks first to fourth globally for 75% of its portfolio and it is a “Partner of Choice” for a variety of major global and domestic customers.
This strategy involves leveraging ITC’s existing strengths, maximizing the use of current assets, and investing selectively to enhance the portfolio. Without looking at the financials, the company’s achievements are notable. The company has little to no long-term debt in its portfolio.
As per the surveys, the steel sector is expected to generate a US$ 5 trillion economy by 2025 with a CAGR of 5-6 YoY. The steel industry in India has always had an integral role in the economic development of the country. Hope this article on the fundamental analysis of Triveni turbine helped you to get good insights. Happy reading!
It is estimated that 10 percent of India’s GDP will be from the IT sector by 2025, up from 7.4 Indian IT Sector: Industry Overview A significant portion of India’s GDP comes from the IT Sector. percent currently. The main growth factor for this industry is IT services, BPM, and R&D.
The Ministry of Defence has set a target of achieving a turnover of US $25 million in aerospace and defense manufacturing by 2025, which includes US $5 billion in exports. By 2025, the Ministry of Defense has set a target to see US $25 million in aerospace and defense industry revenue, including US $5 billion in exports. billion).
By the end of 2025, India is expected to have 45 new data centers adding 13 million sq feet of space and 1,015 MW of capacity. This expansion is important as India’s digital economy is expected to surge from US $ 200 billion in 2017-18 to an estimated US $ 1 trillion by 2025. billion for this expansion. Will it prove to be big?
Its product portfolio includes ordinary as well as premium AC buses. It was founded in 2000 and has grown over the years to have a production capacity of more than 1,500 vehicles every year. It manufactures a wide range of electric buses and electric tippers with an estimated range from 150 km to 300 km.
This investment could also help Ultratech Cement enhance its market share in the south region since ICL has a strong presence in South India. million tons of total capacity by the end of FY 2027 and for FY 2025, the company expects to add 15 – 17 million tons of new capacity.
As the nation aims to become the third largest automotive market by 2030, the two wheeler segment has been the frontrunner, catering to the aspirations of the burgeoning middle class. The current industry valuation stands at $222 billion, the EV market is poised for exponential growth, with an expected net worth of $7.09
As the government paves the way for extensive housing projects, HUDCO, a key player in the financial support industry, finds itself at the forefront of this transformative journey. Today we will understand what the company does, its industry, its loan portfolio, and future prospects. crores, with Rs 1,829.5 crore added in FY23.
With an increasingly large workforce and a growing middle- and lower-income demographic, the need for financial services is set to rise sharply. The Indian electric vehicle market is forecasted to reach USD 113.99 Market Cap(Cr) ₹ 3,678.24 The key focus would be on protecting the portfolio and containing the cost.
It offers a portfolio of products for heating, cooling, water and waste management, and specialty chemicals. By the year 2025, the market share for electrical equipment in India is expected to grow by US$33.74 During the same period, the household electrical equipment market is expected to grow by 12% annually to US$ 72 billion.
Devyani’s Franchise Partners KFC KFC owns the elephant share in Devyani’s portfolio bringing in revenues worth Rs. The Company is shifting focus towards expanding in non-metros with 53% of their current stores situated in non-metros. 1771 Cr, which is nearly 69% of their total revenue. Lakh in FY22 to Rs. If yes, then what’s your pick?
Written by Pavunkumar V M By utilizing the stock screener , stock heatmap , portfolio backtesting , and stock compare tool on the Trade Brains portal, investors gain access to comprehensive tools that enable them to identify the best stocks, also get updated with stock market news , and make well-informed investments.
By utilizing the stock screener , stock heatmap , portfolio backtesting , and stock compare tool on the Trade Brains portal, investors gain access to comprehensive tools that enable them to identify the best stocks also get updated with stock market news , and make well-informed investment decisions. We hope you found it insightful.
Fundamental Analysis of Balkrishna Industries: MRF share has reached dizzying heights crossing the Rs 1,00,000 mark making it difficult for retail investors to include it in their diversified portfolios. But did you know, the stock of Balkrishna Industries (another leading Indian tyre manufacturer) sells for Rs 2,500 only?
RIR’s product portfolio includes low-power to high-power devices and IGBT Modules that find applications in Welding, elevators, Battery Charges, Railways, Medical equipment, etc. Now let us learn a little about what a rectifier is. A rectifier is an electrical instrument that converts alternating current (AC) to direct current (DC).
Their real estate portfolio comprises around 2.0 According to NITI Aayog, the Indian real estate sector is anticipated to be worth $1 trillion by 2030, up from $200 billion in 2021, and will account for 13% of India’s GDP by 2025. million sq ft of residential development. of construction across India.
trillion in investments by 2025, enhancing roads, airports, and power generation. These initiatives, coupled with public-private partnerships, are driving India’s ambitious goal of becoming a US $5 trillion economy by 2025. His total investment in the company amounts to ₹114 crore in the June quarter of the financial year 2025.
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