| # | 📅 Date / Time (stacked) |
📄 Cleaned Text (headlines) | 📖 Translation | ⚡ Action | 💡 Jay Bharat Idea & Notes |
|---|---|---|---|---|---|
| 1 | Tata Consultancy Services: Goldman Sachs maintains Buy with Target Price ₹2,710, citing strong deal wins including three mega deals, sequential growth across most verticals. JSW Steel: Morgan Stanley maintains Overweight with Target Price ₹1,330, citing temporary 4Q production impact... potential ~$2bn buyback (~8...) |
📌 Brokerage rating update – direction depends on rating.
|
BUY |
💡 🏭 MS Overweight TP ₹1330 – temporary production impact, buyback potential.
|
|
| 2 | Vakrangee: Ties Up With IndiaFirst Life Insurance To Sell Life Insurance Through Vakrangee Kendra Network, Expanding Coverage In Underserved Areas. |
📌 Corporate action / earnings / market update.
|
SELL |
💡 🏪 Insurance tie-up – expanding last-mile distribution.
|
|
| 3 | Mahindra & Mahindra: Co Divests 99.04% Stake In Erkun Foundry, Turkey, To Hisarlar Makina For ₹256 Cr, Using Funds To Pay Off Debt Ahead Of Schedule. Parth Electricals & Engineering: Bags First Order Of FY27 From Tata Power Central Odisha For 11KV Compact Substations. |
📌 Corporate action / earnings / market update.
|
BUY |
💡 🚜 Turkey subsidiary sale – debt reduction positive.
|
|
| 4 | Muthoot Finance: Company Board Approves ₹30 Dividend Per Share. |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 💰 ₹30 dividend – gold financier, high yield.
|
|
| 5 | Foreign Investors Buys India Shares Net Rs 672.09 Crore Today, While Domestic Investors Buys Net Rs 410.05 Crore. Monarch Surveyors And Engineering: Company Board Approves 100% Purchase Of Australian Firm GM & FE Ryan. |
📌 Positive brokerage stance – expected upside.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 6 | POSITIONAL CALL: BUY BHARTI AIRTEL (NSE Symbol BHARTIARTL) AT 1889 FOR TARGET Of 2200, STOP LOSS 1810. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 📡 Positional buy target 2200 – telecom tailwind.
|
|
| 7 | NSE Index Ends Down 0.86% Or -207.95 Points At 23,842.65. Government Says Commercial LPG Supply Is Back Up To 70%. Goldiam International Ltd: Opens New Origem Retail Store In Malad, Mumbai. |
📌 Corporate action / earnings / market update.
|
NoAction |
💡 📌 Monitor earnings / management commentary.
|
|
| 8 | FIIs Sell Net ₹1,983.18 Crore In Indian Shares, While DIIs Buy Net ₹2,432.30 Crore Today. Life Insurance Corporation Of India: Board Approves 1:1 Bonus Share Issue. |
📌 Positive brokerage stance – expected upside.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 9 | PhysicsWallah: Company Says It Stays in Ongoing Talks With Relevant Parties, Clarifies Report About Buying A Stake In Test-Prep Platform 'Rojgar With Ankit'. |
📌 Positive brokerage stance – expected upside.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 10 | POSITIONAL CALL: BUY PB FINTECH (POLICYBAZAAR) AT 1538 FOR TARGET Of 1800, STOP LOSS 1380. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 11 | HDFC AMC: Q4 REVENUE 10.5B RUPEES VS 9B (YOY). POSITIONAL CALL: BUY SYNGENE INTERNATIONAL AT 434 FOR TARGET Of 570. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 📊 ₹54 dividend + Q4 revenue beat – wealth management play.
|
|
| 12 | HDFC AMC: Q4 SL NET PROFIT 6.23B RUPEES VS 6.4B (YOY). ADANI PORTS: RS. 54.41 CRORES NSE BLOCK TRADE. HDFC AMC: CO DECLARED DIVIDEND OF 54 RS PER SHARE. |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 📊 ₹54 dividend + Q4 revenue beat – wealth management play.
|
|
| 13 | HDFC AMC: DIVIDEND 54 RS. ADANI PORTS: RS. 141.28 CRORES BLOCK TRADE. SG FINSERVE: Q4 REVENUE 1.05B VS 541M (YOY). Zydus Lifesciences: Receives USFDA Approval For Oncology Injectable Facility. |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 📊 ₹54 dividend + Q4 revenue beat – wealth management play.
|
|
| 14 | SG FINSERVE: Q4 REVENUE +94% YoY. Zydus Lifesciences: USFDA nod for oncology injectable facility. Mahindra & Mahindra Ltd.: Rs. 29.52 Crores Block Trade. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📌 Monitor earnings / management commentary.
|
|
| 15 | WAAREE RENEWABLE TECH: Q4 EBITDA 2.06B VS 1.26B (YoY) || Q4 EBITDA MARGIN 18.76% VS 26.51% (YoY). Angel One: Company Raises Borrowing Limit Up To ₹200 Billion. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📈 Q4 EBITDA doubled + borrowing limit hike – brokerage growth.
|
|
| 16 | WAAREE RENEWABLE TECH: Q4 CONS NET PROFIT 1.55B VS 938M (YoY) || Q4 REVENUE 11B VS 4.76B (YoY). Angel One: Q4 EBITDA 6B VS 3.43B (YoY) || Q4 EBITDA MARGIN 41.02% VS 32.45% (YoY). |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📈 Q4 EBITDA doubled + borrowing limit hike – brokerage growth.
|
|
| 17 | FII BUY NET RUPEES 382 CR OF INDIA SHARES TODAY || DII SELL NET RUPEES 3428 CR. CESC: Signs Deals For 600 MW Wind-Solar Hybrid Projects. Iran's Planned Strait Of Hormuz Toll To Be Paid Via Iranian Banks. |
📌 Foreign inflows positive for sentiment.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 18 | VST INDUSTRIES: CO RECOMMENDS FINAL DIVIDEND OF 12 RUPEES PER SHARE. VST INDUSTRIES: Q4 SL NET PROFIT 1.16B VS 513M (YoY) || Q4 REVENUE 6.9B VS 4.54B (YoY). |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 📊 Dividend ₹12 + profit doubled – strong tractor/auto ancillary.
|
|
| 19 | VST INDUSTRIES: Q4 EBITDA 2.08B VS 695M (YoY) || Q4 EBITDA MARGIN 30.23% VS 15.32% (YoY). DOW JONES UP 107.94 POINTS AT 48,571.66. S&P 500 UP 9.61 POINTS AT 7,032.56. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📊 Dividend ₹12 + profit doubled – strong tractor/auto ancillary.
|
|
| 20 | ALOK INDUSTRIES: Q4 CONS NET LOSS 1.9B VS LOSS 745M (YoY) || Q4 REVENUE 9.82B VS 9.53B (YoY). U.S. Military Expands Iran Shipping Blockade. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
CAUTION |
💡 📌 Monitor earnings / management commentary.
|
|
| 21 | Larsen & Toubro Ltd.: Rs. 25.39 Cr Block Trade. POSITIONAL CALL: BUY CONCORD BIOTECH AT 1100 FOR TARGET 1450, STOP LOSS 980. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 💊 Positional buy target 1450 – biopharma speciality.
|
|
| 22 | NECC: Company Becomes Highest Bidder in E-Auction for Delhi Commercial Tower. POSITIONAL CALL: BUY FEDERAL BANK AT 290 FOR TARGET 330, STOP LOSS 270. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 🏦 Positional buy target 330 – valuation attractive.
|
|
| 23 | Aurionpro: Launches Fintra, Its First AI-Native Trade Finance Platform. POSITIONAL CALL: BUY ANGEL ONE AT 316.75 FOR TARGET 430, STOP LOSS 243. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 📈 Q4 EBITDA doubled + borrowing limit hike – brokerage growth.
|
|
| 24 | POSITIONAL CALL: BUY SBI AT 1077 FOR TARGET 1160, STOP LOSS 1044. |
📌 Derivative/equity long recommendation (speculative, high risk).
|
BUY |
💡 🏦 Positional buy target 1160 – PSU bank recovery.
|
|
| 25 | YES BANK: Q4 GNPA 1.3% VS 1.5% (QoQ) || Q4 NNPA 0.2% VS 0.3% (QoQ). |
📌 Asset quality update – lower NPAs indicate improving credit health.
|
BUY (improving asset quality) |
💡 🏦 Asset quality improves (GNPA 1.3%) – turnaround story.
|
|
| 26 | Interarch Building Solutions: Company Secures Rs 60 Crore Domestic Order For PEB Project. ICICI BANK: BANK RECOMMENDED A FINAL DIVIDEND OF RUPEES 12 PER EQUITY SHARE. |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 27 | HDFC BANK: Q4 GNPA 1.15% VS 1.24% (QoQ) || Q4 NNPA 0.38% VS 0.42% (QoQ). HDFC BANK: BANK RECOMMENDED A FINAL DIVIDEND OF RUPEES 13 PER EQUITY SHARE. |
📌 Shareholder reward – positive cash return.
|
BUY |
💡 📌 Monitor earnings / management commentary.
|
|
| 28 | NETWORK18 MEDIA & INVESTMENTS: Q4 EBITDA 306M VS 190M (YoY) || Q4 EBITDA MARGIN 4.97%. HDFC BANK: Q4 asset quality improvement. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📌 Monitor earnings / management commentary.
|
|
| 29 | ICICI BANK: Q4 INTEREST EARNED 433B VS 424B (YoY). ICICI BANK: Q4 SL NET PROFIT 137B VS 126.3B (YoY). |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📌 Monitor earnings / management commentary.
|
|
| 30 | ANGEL ONE: Q4 EBITDA 6B VS 3.43B (YoY) || Q4 EBITDA MARGIN 41.02% VS 32.45% (YoY). ANGEL ONE: Q4 CONS NET PROFIT 3.2B VS 1.75B (YoY) || Q4 REVENUE 14.5B VS 10.6B (YoY). US NATURAL GAS STORAGE ACTUAL: 59B VS 50B PREVIOUS. |
📌 Quarterly earnings release – compare YoY/QoQ trends.
|
NoAction |
💡 📈 Q4 EBITDA doubled + borrowing limit hike – brokerage growth.
|
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