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Indian Markets Weekly View| kartalks

(Covering roughly 13-17 October 2025, Indian markets) 📌 Key Index Levels at a Glance The Nifty 50 closed recent sessions near closed at 25,280 ~ 103 points, registering a modest upward move.  The Bank Nifty is hovering in the region of 55800 ~ 56,600range, showing relative strength in banking stocks.  The Sensex (BSE) ended the week around

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Global Markets Slide on Trade War

📰A Global Market Meltdown On Friday, October 10, 2025, global stock markets witnessed one of their worst sessions of the year.U.S. indices crashed as renewed U.S.–China trade tensions, over-stretched tech valuations, and fears of global slowdown triggered a massive sell-off.While India’s markets were closed, traders are bracing for Monday’s potential impact.This report breaks down the

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🌅 Pre-Market Report— October 9, 2025

🌍 Global & Macro Cues Global markets are cautiously steady on early U.S. futures strength and European gains ahead of key central bank commentary. Commodity prices, especially oil, are under the spotlight once again as supply concerns resurface. China demand data later today could add spice for Asian markets. Meanwhile, the U.S. Fed speeches scheduled

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📊🇮🇳 Post-Market Report – Oct 8, 2025|kartalks

🏦 Key Index Closings & Market Snapshot Market Mood & Highlights 📊 FII / DII Flows & Institutional Activity 📈 Volatility (India VIX) Behavior 📈 Top Gainers, Top Losers & Stock Highlights Top Gainers (Select names) Top Losers / Weak Names Stock of the Day While a definitive “stock of the day” is subjective, Titan stands out

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🌅 Pre-Market Report — October 8, 2025

Quick take: GIFT Nifty points to a muted start, with markets set to digest fresher data, ongoing IPO flows and a busy Q2 earnings calendar. Yesterday’s lower VIX and steady DII support are constructive, but FII behaviour, crude swings and currency moves will decide whether the recovery broadens. Trade with structure — let price, volume

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🌅 Pre-Market Report — October 6, 2025

🌍 Global & Macro Cues Global markets are on edge. U.S. indices are trading cautiously as investors monitor economic data and geopolitical developments. Europe is mixed, and China’s slow growth projections are adding to uncertainty. Commodity markets are volatile — crude is seeing pressure amid supply concerns and demand doubts. On the domestic front, India-EU

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