Foreign Portfolio Investors (FPIs) hit a record sell-off in March 2026, offloading ₹14,403 crore in Indian government securities as the…
Foreign Portfolio Investors (FPIs) hit a record sell-off in March 2026, offloading ₹14,403 crore in Indian government securities as the…
Indian bond yields surged to their highest level since 2024 as the government’s ₹2.1 lakh crore excise duty cut on…
The Indian government has announced a market borrowing of ₹8.2 lakh crore for the first half of FY 2026-27, representing…
Breaches 94 for the first time; Currency down 10.94% in FY26, the highest in 14 years
The Indian Banks’ Association (IBA) has approached the RBI to extend emergency trade relief measures for two additional quarters.
Indian markets extended their recovery for a second day, with the Sensex gaining 1.63% and the Nifty climbing 1.72% as…
State Bank of India (SBI) has bolstered its capital base with a successful ₹6,051 crore Tier 2 bond issuance, marking…
Higher market borrowing rates are set to push up banks’ cost of funds in Q4, as elevated CD yields and…
HDFC Bank appoints external law firms to review former chairman Atanu Chakraborty’s exit, reinforcing governance standards. Shares rise after clarity…
Geopolitical tensions push 10-year bond yield to one-year high of 6.88%, while rupee hits record low amid oil price surge…
While sustaining its dominant gold loan franchise amid global price surges, the bank is pivoting toward 40% wholesale growth and…
Crashes 9.65% in FY26, the worst in 12 years
Top legal experts and proxy advisory firms are calling for regulatory intervention following Atanu Chakraborty’s resignation from HDFC Bank.
Former RBI Deputy Governor Rajeshwar Rao emphasizes the urgent need for consolidation across India’s banking and NBFC sectors to meet…
The Indian rupee plummeted to a lifetime low of 92.63 against the US dollar on Wednesday, March 18, 2026.
Bank of Baroda’s Rs 10,000 crore issuance is a major step in renewable energy lending space, said experts
RBI Intensifies Oversight: Banks Asked to Map Exposure to Middle East Amid Regional Volatility
Indian debt fund managers are repositioning portfolios by cutting duration and increasing holdings in liquid assets like bank CDs and…