RBI Unveils Five-Year National Strategy to Deepen Financial Inclusion Across India

RBI launches the National Strategy for Financial Inclusion 2025–30, outlining a roadmap to strengthen last-mile access, financial literacy, and consumer protection. Introduction: A New Blueprint for Inclusive Growth India has … Read More

At ₹90.43 Per Dollar, the Rupee Faces Its Sharpest Decline Yet—Here’s What’s Driving It

India’s rupee plunges past 90 per dollar for the first time, triggering inflation concerns, import cost spikes, and debates over the country’s economic direction. Introduction: A Historic Slide Shakes Markets … Read More

India’s Inflation Edges Up as Food Prices Firm

India’s consumer inflation likely rose modestly in November as easing base effects and firmer food prices nudged CPI higher, Reuters economists say. A Mild Inflation Uptick After Months of Lows … Read More

EU Scales Back Corporate Sustainability Rules in New Deal

EU lawmakers strike a deal to significantly narrow corporate sustainability rules, easing reporting burdens on most companies amid pressure from global industry and governments. A Major Rollback in Europe’s Climate … Read More

Yen Steadies as Japan Quake Heightens Market Caution

The yen holds firm after a powerful Japan earthquake triggers risk-off sentiment as global markets brace for major central bank decisions, including the Federal Reserve. A Volatile Start to the … Read More

RBI Cuts Repo Rate to 5.25%: Borrowers Set to Benefit as Inflation Eases

RBI cuts repo rate to 5.25% after six months, offering relief to borrowers. Here’s what the policy shift means for inflation, growth, and India’s credit market. Introduction: A Surprise Thaw … Read More

AI Debt Boom Splits Investor Confidence as Markets Reprice Risk

Investor caution over rising AI-related debt is reshaping the credit landscape, with new research showing investment-grade and high-yield markets reacting in sharply different ways. A New Fault Line in the … Read More

Asia Markets Steady as Wall Street Rebound Calms Early-Week Turmoil

Asian stocks recovered on Wednesday as a rebound on Wall Street and easing bond-market turmoil steadied global sentiment amid rate concerns in Japan and the U.S. A Calmer Dawn After … Read More

Ireland’s Service Sector Surges to 3½-Year High in November

Ireland’s services sector posted its strongest expansion in over three years in November, driven by rising activity, new business, and renewed optimism. A Sharp Turn in Ireland’s Economic Pulse Ireland’s … Read More

UK Economy Seen Accelerating as OECD Upgrades Growth Outlook

The OECD has upgraded its forecast for the UK economy, citing policy changes and inflation risks, while cautioning that limited fiscal space could hinder future resilience. A Brighter-but Fragile-Path Ahead … Read More