Inflation, Tariffs, Earnings & More—Here’s What Investors Need to Watch
This isn’t your usual trading week. With a holiday-shortened calendar and major global events colliding—like Q4 earnings, China’s GDP, and tariff tensions—Dalal Street is entering turbulent waters. This story follows a retail investor trying to rebalance their portfolio around these events, showing how average investors can navigate volatility like a pro. It’s your one-stop cheat sheet for market survival.
2. How Tariffs and China’s GDP Could Hijack Indian Stocks This Week
Global Drama Meets Local Trading Floors
Dalal Street isn’t just reacting to domestic cues—it’s being pulled by global strings. This article zooms in on how China’s GDP data and Trump’s tariff moves could directly hit Indian IT, auto, and pharma stocks. Through the lens of a fund manager who adjusts his FII exposure based on macro triggers, we break down the most likely scenarios—and how to play them.
3. Holiday Week, High Stakes: How to Trade When Markets Are on Edge
Less Time, More Risk—Perfect Storm or Perfect Setup?
Trading in a holiday-shortened week often means tighter windows, sharper moves, and more volatility. This piece follows a young day trader juggling Nifty and Sensex calls amid Q4 earnings and inflation data. With real-time decisions, options strategy breakdowns, and chart setups, this one’s perfect for anyone looking to learn how technicals and fundamentals collide when time is short but action is high.
4. From Q4 Earnings to ECB Moves: The Global Web Driving Dalal Street
Your Portfolio Might Be More International Than You Think
This isn’t just about Indian earnings anymore. ECB’s interest rate stance, China’s economic data, and U.S.-China trade dynamics are directly influencing D-Street. We unpack how interconnected the world of investing has become—following an NRI investor managing Indian and global portfolios simultaneously. It’s a compelling look at why Indian investors can’t afford to ignore the world stage.
5. Why This Could Be the Most Important Week for Indian Markets in Q2
Earnings, Inflation, and Global Tensions—All in 5 Days
This article positions the week ahead as a potential inflection point. A combination of domestic earnings, FII activity, inflation reports, and global macro shifts could set the tone for Q2 performance. We tell the story of a brokerage firm that’s adjusted its sectoral calls based on this week’s mix of data, and what that means for investors looking to stay one step ahead.