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Finance Forum India

Share your thoughts on finance education, economic developments, capital markets movements or your professional experience in the field of finance.

Are you interested to blog on financial issues? If yes, please send us an email at: info@daulatguru.com

Looking for a Career in the Asset Management Industry?

Krishna Sanghvi
Mr. Krishna Sanghvi, Head of Equities at Kotak Mutual Fund manages several mutual funds like Kotak Opportunities, Kotak Tax Saver, Kotak Balance etc. He shares his extensive experience in the Indian Asset Management Industry and explains how students can make a career in this industry.
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What is the Cure of India's Inflation Problem?

Inflation
 
 
Amol Agrawal, an Economist, discusses the reasons for the rising inflation in India and how it can be restrained to sustainable levels.
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Interest Rates Risk & The Scenario in India

Suyash Bharadwaj is an MBA student from IIM Calcutta. During his summer internship in the Investment Banking Division at Bonanza Portfolio Limited, Suyash was involved in Fund Raising and Mergers & Acquisitions advisory. Interest Rate Risk – A risk is any variation from the expected return of an investment on the downside. An interest rate risk implies the risk that an investment's value will change due to a change in the absolute level of interest rates, in the spread between two rates, in the shape of the yield curve or in any other interest rate relationship. Basically such a downside depends...
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Sizzling Sensex

Suyash Bharadwaj is an MBA student from IIM Calcutta. During his summer internship in the Investment Banking Division at Bonanza Portfolio Limited, Suyash was involved in Fund Raising and Mergers & Acquisitions advisory. For the starters, Sensex is the sensitive index, the benchmark index of 30 most illustrious companies whose shares are traded in the Bombay Stock Exchange. The base value of Sensex is calculated by a free float market method. By this method a weight is assigned to the market price of stock and is multiplied with the existing stock price. This weight is the number of shares available...
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Scope of Socially Responsible Investing (SRI) in Emerging Markets like India

Matt Patsky, CFA, Chief Executive Officer, Trillium Asset Management Corporation
Matt Patsky, CFA is the Chief Executive Officer at Trillium Asset Management Corporation. He speaks about Socially Responsible Investing and it's scope in emerging markets like India.
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When is the next US economic crisis likely to occur?

Sougata Basu is the Founder of DaulatGuru.com. He has an MBA in Finance from Boston University and has done Electrical Engineering from BIT, Mesra, India. August 2010: Almost 2 years after the financial crisis of 2008, we still do not see a real recovery in the US economy. The data on unemployment and debt levels in US do not indicate any significant improvement. The economic crisis of 2008 was not a sudden disaster like an earthquake or a tsunami that happened without sufficient warning signals. It was building up as the consequence of serious economic problems that started many years...
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Frequently Asked Questions about New York University's Math Finance Program

NYU Math Finance Program

Petter Kolm, Director of the Mathematics in Finance Masters Program at the Courant Institute of Mathematical Sciences, New York University answers some of the frequently asked questions about the Math Finance Program at NYU.

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Prof. Tarun Khanna of HBS Discusses Strategies for Winning in Emerging Markets

Prof. Tarun Khanna, Harvard Business School
Professor Tarun Khanna of Harvard Business School is an expert on business strategies for emerging markets. He speaks to DaulatGuru.com and discusses how his new book can help entrepreneurs from emerging markets like India.
Winning in Emerging Markets: A Roadmap for Strategy and Execution
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Richard Koo, Chief Economist, Nomura Research Institute explains how this "Balance Sheet Recession" is different

Richard Koo, Chief Economist, Nomura Research Institute
Mr. Richard C. Koo is the Chief Economist of Nomura Research Institute, the research arm of Nomura Securities, Tokyo. He has recently released a book titled “Balance Sheet Recession - Japan's Struggle with Uncharted Economics and its Global Implications”. In this interview he explains how the recession in 2008 was different and what should be the role of the Government.
Balance Sheet Recession: Japan's Struggle with Uncharted Economics and its Global Implications
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Robert Pozen, Chairman of MFS Investment Management, Discusses How to Fix the U.S. Financial System

Robert Pozen, Chairman, MFS
Robert C. Pozen,Chairman of MFS Investment Management,manages over $200 billion in assets. He speaks to DaulatGuru.com on how US needs to solve some of the problems in its present financial system.
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