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Expert Columns
Expert Columns
RBI Monetary Policy: Risks abound – wait and watch the best strategy
RBI April policy chooses to wait, watch and respond, rather than react hastily to transient shocks
RBI policy suggests growth risks may outweigh inflation risks; MPC likely to maintain prolonged pause
MPC April Policy Preview: The RBI's delicate interlude
Geopolitical deadlock and US inflation data to test commodity market nerves
Beyond the Fall: What’s a must watch to identify market bottoms
Middle East tensions a concern, but RBI likely to stay on hold for now
New STT, New Rules | How derivatives traders must adapt: Shubham Agarwal
RBI likely to take a calibrated approach in April policy, balancing inflation concerns with growth momentum amid West Asia turmoil
Nifty's 23,000 to act as decisive pivot for April series, short rollover suggests sell-on-rise bias
Energy shock and interest rate fears to keep commodity markets on edge next week
From security dependence to self-reliance: The opportunity few are pricing in
How PCR OI reveals the market's reversal secret: Shubham Agarwal
Deepening oil supply shock could push economies toward stagflation, worry policymakers
Prolonged Iran conflict to keep commodity markets on edge ahead of FOMC, China data
The oil bounty India cannot count on anymore
How to follow the trend using PCR OI: Shubham Agarwal
Geopolitical tensions rise, but why aren’t gold prices?
Oil's sudden shock: How a diplomatic standoff turned into a global supply crisis
The Hormuz shock: Why a narrow Strait matters for India’s economy and markets
US-Iran tensions to be in spotlight next week as US economic data looms
Put Ratio Backspread: Strategy to limit downside during sharp pullbacks
Rising Middle East tensions, oil prices pose multiple risks for India
Don't fight the range, trade it: Shubham Agarwal
India markets seen resilient to US-Iran-Israel tensions; risk rises if oil remains high
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