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Standard Chartered India - Money Insights

Standard Chartered India - Money Insights

Hosted by Standard Chartered India

Episodes

322

Latest episode

Aug 2026

Language

EN-GB

About the show

Standard Chartered India - Money Insights is a podcast series created to bring you the latest views on-the-go from Indian markets. Join experts from Standard Chartered and the Indian investment industry as we dive deep into insights and analyses that matter, to help you make better investment decisions.

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60 recent
September 1, 20265 min

The Week That Was – 31 Aug: Warsh’s First Jackson Hole Speech, Indian Markets Stay Cautious

In this week’s episode of The Week That Was, we break down key global and domestic market developments: Global Markets : Fed Chair Kevin Warsh’s debut Jackson Hole speech kept a rate hike on the table, triggering a bear-flattening in US yields, a stronger dollar, and a pullback in gold, while the S&P 500 ended marginally lower. India Macro & Economic Data : Industrial production moderated but stayed resilient, asset monetisation progress was strong, and forex reserves climbed to a record USD 729 billion. Domestic Equities & Sectors : The Nifty and Sensex fell for a third straight week on Middle East and Fed-driven caution, even as Metals, IT, and Pharma led sector gains and broader markets outperformed. Speaker: Michelle Castellino Investment Strategist

August 25, 20266 min

The Week That Was – 24 Aug: Indian Equities Slip, Gold Rallies, and Bond Yields Rise

In this week’s episode of The Week That Was, host Michelle Castelino breaks down key global and domestic market developments: Global Markets : The US Treasury announced plans to double its long-term debt buyback operations to at least $4 billion per operation, following a brief spike in the 30-year yield above 5.3%. The move offered mild relief to bond markets and the dollar, though its overall impact is expected to stay limited. India Macro & Domestic Equities : Domestic activity data showed a mixed picture, with core industries growth moderating even as the unemployment rate eased to a four-month low. Indian benchmarks fell for a second straight week, with the Nifty and Sensex both lower, pressured by rising crude oil prices and escalating Iran-US tensions. IT and FMCG led sectoral declines, while Metals, Realty, and Banks held up better. Bonds & Gold : Indian bond yields rose over the week amid renewed inflation concerns, while gold extended its rally. Speaker: Michelle Castellino Investment Strategist

August 18, 20267 min

The Week That Was - 17 Aug: Inflation Moderates, Tech Rallies, and FII Inflows Return

In this week’s episode of The Week That Was, host Michelle Castellino breaks down key global and domestic market developments: ​Global Markets : Global equities ended the week on a positive note, supported by lower-than-expected US CPI inflation data and easing recession concerns, which fueled strong gains across tech and growth sectors in the US and Europe. ​India Macro & Economic Data : Domestic economic indicators signaled continued resilience, highlighted by cooling retail inflation figures and steady industrial output performance. ​ Domestic Equities & Capital Flows : Indian benchmark indices maintained upward momentum, driven by widespread buying across IT, banking, and consumer sectors. Foreign Institutional Investor (FII) inflows turned net positive, supporting local bond yields and market stability. Speaker: Michelle Castellino Investment Strategist

August 13, 202622 min

Views from the Street: India Fixed Income Outlook post the RBI Monetary Policy

In this episode of Views from the Street, we feature Anupam Joshi from HDFC MF. Join us to hear the fixed income outlook for the year post the RBI MPC, covering growth-inflation dynamics, liquidity and bond demand-supply. Speaker: Anupam Joshi Co-Head Fixed Income HDFC Mutual Fund Hosted by: Shaily Gang Chief Investment Strategist Standard Chartered Bank India

August 11, 20266 min

The Week That Was - 10 Aug: Global Equities Rally

In this episode of The Week That Was, our host Michelle Castilino covers key global and domestic financial updates: ​Global Developments : Major equity markets in the US, Eurozone, Japan, and China broke out of recent ranges, fueled by strong US corporate earnings and stabilizing oil prices as shipping routes opened in the Strait of Hormuz. ​India Macro Updates : The RBI maintained its repo rate at 5.25% with a neutral stance, revising FY27 growth expectations up to 6.7% while moderation was noted in July PMI figures. ​Domestic Markets & Bonds : Indian equities saw consecutive weekly gains led by the auto, capital goods, and metal sectors. Meanwhile, domestic bond yields declined following strong foreign capital inflows. Speaker: Michelle Castellino Investment Strategist

August 4, 20265 min

The Week That Was - 3 Aug: Fed holds rates, markets rebound

The US Fed held rates in a 9:3 majority decision. Indian markets led a strong rebound for the week, with both the Nifty and Sensex up by over 2.5% for the week. Tune in for more. Speaker: Michelle Castellino Investment Strategist

July 28, 20266 min

The Week That Was - 27 Jul: Renewed US-Iran tensions drive pressure

Renewed tensions between US and Iran, with the Houthis resuming a blockade on the Red Sea, sent oil prices soaring. This also brought pressure on markets, with headline and broader indices declining. Bith the Nifty and Sensex were down over 2% the last week. Tune in for more. Speaker: Michelle Castellino Investment Strategist

July 21, 20264 min

The Week That Was - 20 Jul: A firm week for Indian markets

Indian markets showed a steady rally the previous week, with the Nifty and Sensex up by 0.5% and 0.75% respectively, even as broader markets lagged. India macro data releases showed retail inflation rising for June. Tune in for further updates. Speaker: Michelle Castellino Investment Strategist

July 20, 202611 min

India Fixed Income Outlook: FY2026-27

Join us to hear the fixed income outlook ahead for this fiscal year: liquidity, bond demand-supply dynamics and yield movement. Speaker: Shaily Gang Chief Investment Strategist

July 14, 20266 min

The Week That Was - 13 Jul: Markets navigate renewed US-Iran tensions

The announcement by President Trump on the ceasefire between US and Iran coming to an end sent markets tanking and oil prices shooting up, though he did assure that talks would continue. Indian markets stayed flattish, with the Nifty and Sensex down ~0.3% for the week. Tune in for more. Speaker: Michelle Castellino Investment Strategist

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