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market consolidation: What is causing consolidation every time the market is moving higher? Gurmeet Chadha answers

Chadha notes caution pre-election due to US yields, advises good earnings as hedge. Impressed by Britannia, Tata Consumer, Axis, ICICI banks. Favors ICICI, Axis, HDFC, Kotak for growth potential and asset quality in banking sector.

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In FY25, we hope to continue with over 30% revenue growth, 18% EBITDA margin: RailTel CMD, ET Telecom

Sanjai Kumar of RailTel anticipates significant growth opportunities in LTE and Kavach segments, targeting Rs 5,000-6,000 crore orders. Expecting 30% revenue growth for FY25 with 18% EBITDA margin. Facing challenges in the RailWire sector.

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Telecom-business
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Et-now

buy on dips: Looking to buy Kotak Bank on further dip; tough to justify PFC & REC valuations: Sandip Sabharwal

Sandip Sabharwal discusses various market aspects including Kotak Bank s potential amidst a correction, private banking preferences, power sector insights, CVs sector observations, and the situation with Godrej Properties. He also comments on recent earnings performances in the IT sector. Sabharwal says: "This correction in Kotak Bank could possibly take it to levels where it becomes a buy candidate sooner than later."

Vikhroli
Maharashtra
India
Lucknow
Uttar-pradesh
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Tata-motors
Ashok-leyland
Boyce-group
Indian-school-of-business
Godrej
Godrej-properties

Risk Management: Cutting exposure to capital goods, industrial; waiting for IT to bottom out: Devina Mehra

Devina Mehra of First Global reflects on the market s consensus shift towards capital goods, emphasizing the need to monitor potential sector peaks. She also discusses stock market volatility, election impact, and risk management strategies for smallcap stocks. Mehra says: "We have added a few commodity stocks in our last rebalance some amount of metal, steel, etc, and even some cement."

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liquid fund: How is a debt mutual fund different from equity Mutual funds? Amol Joshi answers

Amol Joshi emphasizes the importance of debt mutual funds in balancing investment portfolios, shielding against market risks, and providing stable returns. Understanding the dynamics of debt instruments is essential for effective asset allocation and long-term financial growth. Joshi says: "There are some rules of thumb that a debt mutual fund is useful when you have an investment horizon that is spanning a few weeks or months or something that is not really medium or long term."

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Liquid-fund

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