
About this episode
In this episode, we analyze the current state of the Indian stock market and understand whether the market is nearing a bottom.
We discuss how narratives influence investor behaviour, why market sentiment becomes extremely negative near bottoms, and what historical data tells us about Nifty valuations when the PE ratio falls near 20.
We also explore market breadth indicators, SIP strategies based on valuations, global market comparisons, and sectors where opportunities may be emerging including recycling, regional banks, gold lenders, hospitals, data centers, chemicals, and CDMO businesses.
If you are a long-term investor trying to understand the current market cycle and where the risk-reward may be improving, this episode will give you a clear framework to think about markets.
Get every episode summarized
Each time The SOIC Podcast publishes, we email you a written briefing from the transcript — the topics, who appeared, and any specific claims, with the ad reads skipped.
Email me new episodesFree for 3 shows. No card needed.
Hosts & guests
No transcript yet
This episode has not been transcribed. Request it and it moves to the front of the queue.
More episodes
More from The SOIC Podcast

10 CDMO Businesses Decoded
The SOIC Podcast

4 Unique Scans I Use to Find Epic Stocks
The SOIC Podcast

Tempsens IPO: What This Udaipur Manufacturer Actually Makes
The SOIC Podcast

100 Fastest Growing Companies After Q1 FY27 Results
The SOIC Podcast