VOLATILITY IN STOCK MARKET

Silver price prediction: Silver rate to witness volatility, predict experts
Silver price has been on a glorious run, but silver rate may experience volatility, according to analysts.

U.S. Stock Market prediction: Wall Street 'fear gauge' hits highest level in 6 months. Will S&P 500, Dow Jones, Nasdaq open in green?
U.S. Stock Market indexes S&P 500, Dow Jones, Nasdaq investors will be eyeing the CBOE market volatility index (ViX).

This Samvat, are you a scientific investor or just following the herd?
Scientific Investing is an approach that is based on the first principles of investing which are rooted in the concepts of cash flows, intrinsic value and portfolio construction.

Sensex surges 1,900 points in 3 days. What’s in store for investors this Diwali?
India's stock market is delivering the ultimate festive gift. With Nifty scaling fresh 52-week highs and the Sensex rocketing over 1,900 points in just three sessions, investors are entering the holiday week riding a wave of renewed confidence.

Bitcoin vs Gold vs S&P 500 - Which is most profitable? ChatGpt has this answer
Gold vs Bitcoin vs S&P 500: In one-year performance, Bitcoin gave big returns followed by S&P 500, and Gold. In 5-year performance, Bitcoin leads the chart, followed by S&P 500 and Gold. In 10-year performance, Bitcoin was followed by S&P 500, and Gold, according to ChatGpt.

Dalal Street Week Ahead: Rising VIX signals hedging; traders advised tactical approach
Nifty has broken above a key chart pattern, signalling a bullish trend. However, market breadth remains weak, and volatility has increased. This suggests caution is needed. Investors should focus on specific stocks and manage risk. Sectors like Pharma, Metal, and Auto are leading. Mid-caps may see mixed performance. Other sectors are lagging but showing improvement.
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ET Prime Series: Q2 earnings estimate special Part 2 – Will banks deliver a surprise?
The earnings season is an important time in the yearly market calendar. If you are a trader, it is an opportunity to exploit the up/down movement of stock prices. As an investor, it helps you figure out whether managements are delivering on promises. It is also a volatile period – and with a good reason. There is something which causes the volatility. What is that something? Which stocks are going to be up or down earnings announcement day? The answers depend on many factors. While many of them cannot be tracked, some can be. Prices are not reacting to the absolute numbers delivered; they are reacting to the surprise relative to what was priced in.
Wall Street Week Ahead: US stocks to be tested by Tesla, Netflix earnings and delayed CPI report
As the financial world gears up for an eventful week, investors keep a keen eye on Tesla and Netflix's earnings reports. With inflation data hanging in the balance and the stock market displaying jitters despite its lofty positions, uncertainty abounds. Heightened trade tensions and banking credit issues are contributing to market fluctuations.
US stocks Dow, S&P 500, and Nasdaq move uneasily as Trump calms China trade fears, banks start to recover
US stocks turned higher after President Trump said high tariffs on China will not stay. This helped markets recover from earlier losses caused by worries about bad loans in regional banks. Investors are now mixing risky tech shares with safe options like gold and bonds as market fears ease slightly.
The season of true prosperity: Why mixing corporate bonds and equities is smarter than betting all on one
Indian equities delivered a sobering 0% return over the past year, highlighting the risks of single-asset bets. In contrast, well-chosen corporate bonds offered positive returns of 8%-15%, insulating portfolios from volatility. Diversification across equities, bonds, and fixed deposits proved crucial for mitigating damage and achieving steady growth, even when equity markets remained flat.
Best arbitrage mutual funds to invest in October 2025
Arbitrage funds look for arbitrage opportunities available between the cash and derivatives markets. In other words, the fund managers in these schemes look for the price difference that they can exploit between the cash and derivatives markets. They may also invest in debt securities and equities if there are no arbitrage opportunities available in the market.
US stock market today: Dow, S&P, and Nasdaq advance despite US-China trade tensions — top gainers Nvidia, TSMC, Salesforce, and big banks lift Wall Street
US stock market today, October 16, surged despite fresh US-China trade tensions. The Dow, S&P 500, and Nasdaq all moved higher. Nvidia, TSMC, Salesforce, and big banks led the rally with strong earnings and AI-driven growth. J.B. Hunt jumped over 22%, lifting transportation stocks alongside. Traders focused on growth, earnings surprises, and rising demand in the semiconductor and AI sectors.
IPO-bound Groww launches commodities trading services on platform
Stock broker Groww on Thursday rolled out commodities trading on its platform, as it continues diversifying its wealth and capital markets offerings.
Diwali Muhurat Trading 2025: Date, time and significance of special trading session
Diwali Muhurat Trading 2025: As India celebrates Diwali, the stock markets will hold Muhurat Trading, a symbolic one-hour session on Tuesday, October 21, from 1:45 pm to 2:45 pm, marking the start of Samvat 2082. NSE and BSE will open for this special session, remaining closed for regular trading, symbolising prosperity, renewal, and optimism for investors in the new Hindu financial year.
Best aggressive hybrid mutual funds to invest in October 2025
If you are bothered about the uncertainties and volatility in the market, you can consider investing in aggressive hybrid mutual funds. Mutual fund advisors typically recommend aggressive hybrid fund schemes to ‘conservative’ equity investors to create wealth to achieve their long-term financial goals.
Asian stocks rise after choppy day on Wall Street
Asian stocks opened higher, mirroring a volatile but ultimately positive close for US equities. Investors are navigating renewed US-China trade tensions, with President Trump declaring a trade war. Despite this, dip buyers are supporting market sentiment, keeping it firm.
US debt crisis hits record levels — is the US economy in danger? America’s $37.8 trillion national debt spirals out of control, interest payments top $1.2 trillion
America is facing a serious national debt crisis. US debt has soared to $37.8 trillion. Interest payments now exceed $1.2 trillion annually. Investors and global markets are watching closely. J.P. Morgan warns the Federal debt-to-GDP ratio is near 100% and rising. Temporary tariff revenues may help, but political decisions or an economic slowdown could accelerate the problem. Experts urge investors to diversify before slow debt growth turns into a fast-moving financial crisis.
Morgan Stanley stock shoots up after massive Q3 earnings - here's what to track
Morgan Stanley stock surged after the bank reported strong third-quarter 2025 earnings. Net income hit $4.6 billion, or $2.80 per share, far above the $2.10 expected. Revenue reached a record $18.2 billion, led by investment banking and equities trading. Wealth management added $81 billion in new assets, boosting total assets to $8.9 trillion. Investors reacted positively, sending MS stock higher as analysts highlight Morgan Stanley’s continued market strength.
The 'phoney trade war' may be ending
Businesses anticipate a more uncertain winter. Trade and economic volatility are expected to rise. Government data is unclear due to recent shutdowns. Major economic releases may coincide. Global trade growth forecasts are slashed. Small business sentiment is falling. Financial markets are experiencing renewed volatility. Key events and deadlines loom, including tariff cliffs and corporate earnings reports.
Nifty may have lost its spark since last Diwali, but 25 penny stocks made investors up to 540% richer
While major Indian stock indices saw modest gains, a surprising rally occurred in penny stocks. Over the past year, at least 25 low-priced stocks delivered returns of up to 540%, significantly outperforming larger counterparts. These microcap gains, often in sectors like infrastructure and finance, highlight a vibrant, albeit speculative, segment of the market.
US stock market today: Massive market crash — Dow plunges 504 points, S&P 500 down 1.3%, Nasdaq loses nearly 2% as Nvidia, Tesla, and Oracle fall; could Fed rate cuts rescue Wall Street?
US stock market today tumbled sharply. The Dow dropped 504 points, the S&P 500 fell 1.3%, and the Nasdaq slid nearly 2%. Renewed U.S.-China trade tensions rattled investors. Tech and AI stocks led losses, with Nvidia, Tesla, and Oracle hitting the hardest. Rising tariffs, sanctions on Hanwha Ocean subsidiaries, and market volatility pushed investors toward safe-haven assets like gold. Wall Street now braces for further swings as Powell’s Fed speech looms.
US stock market crashes today: Why did the Dow crash 500 points today? Here are the reasons
Dow Jones crashed 500 points today, shaking global markets. Fresh China trade tensions reignited investor panic after Beijing imposed new sanctions and curbed rare earth exports. The S&P 500 slid 1.3%, and the Nasdaq dropped nearly 2%. Tech and AI giants led the sell-off, with Nvidia, Tesla, and Oracle plunging. Rising tariff threats, growing volatility, and renewed Wall Street fear now point to more turbulence ahead for U.S. markets.
Crypto market dips below $4 trn: why crypto down today - 9 of the top 10 coins losing value; will Fed rate cut revive the market? here's crypto market recovery prediction
The cryptocurrency market is under significant pressure on October 14. Overall value slipped below $4 trillion, now at $3.97 trillion. Bitcoin dropped 1% to $113,144. Ethereum fell slightly to $4,104. Nine of the top ten coins showed losses. Only Solana gained, up 4.1%. Rising US-China trade tensions sparked market jitters. Investors also brace for the Federal Reserve’s next rate decision. These pressures fuel crypto volatility and cautious sentiment today.
Tata Motors demerger: Trucks and buses business valued at Rs 260.75 per share
Following Tata Motors’ demerger, the commercial vehicle unit is valued at Rs 260.75 per share, while the parent now focuses on passenger vehicles and JLR. Analysts call the split a “value unlocking” move, offering investors clearer visibility and sharper business focus for both entities.
Nifty faces selling pressure; Torrent Power, REC among top picks
Indian equity markets experienced selling pressure on Tuesday, with midcap and smallcap stocks showing particular weakness. While the Nifty remains in an overall bullish trend above key moving averages, intraday signs are negative. The upcoming results season is expected to increase market choppiness, emphasizing the need for risk management and focus on outperforming sectors.
4 Diwali 2025 cracker stock picks from Kunal Bothra and Ashish Chaturmohta
Market experts Kunal Bothra and Ashish Chaturmohta are identifying top stock picks for Diwali 2025. These selections span telecom, aviation, energy, and banking. Bharti Hexacom and Petronet LNG are recommended for short-term gains. IndiGo is a long-term prospect due to India's travel boom. ICICI Bank is favored for its financial strength and digital advancements. Selective buying in strong stocks is advised for festive season returns.
Tata Motors demerger: Stock slides 7% in 7 days. Will the restructuring spark gains or more volatility?
Tata Motors shares fell 7% in the last seven trading sessions as the auto major prepares to split its commercial and passenger vehicle businesses this week. The restructuring, effective October 1, aims to unlock investor value but has caused short-term volatility. Analysts remain cautiously optimistic, anticipating a potential rally post-restructuring and JLR's production restart.
Markets poised for momentum shift as time cycles point to a key turning day on October 17: Harshubh Shah
Indian equities extended gains for the second week, supported by easing FII selling pressure and renewed domestic momentum. Net FII buying of Rs 3,289 crore provided stability amid global uncertainties. Key time clusters and Nifty support/resistance levels suggest potential intraday reversals, with positive technical structure indicating dips may attract buying interest.
US stock market tumbles today; is October really Wall Street’s ‘crash month’? Here’s the timeline
US stock markets experienced a sharp decline on Friday, October 10, following President Trump's tariff announcement. This event reignited discussions about October being a historically volatile month for stocks. While infamous crashes like 1929 and 1987 occurred in October, the month has also witnessed significant market gains, indicating a pattern of high volatility rather than consistent downturns.
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