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Finin2min
📰 Finin2min Editorial

Finance Insights — Page 10 of 67

Articles 361–400 of 2673, covering Education & Human Capital, Markets, Valuation & Capital Flows, Global Economy & Geopolitics and more.

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Healthcare & Education Economics
Career Counselling Economics: Information Failure in Education Choices

How information failure distorts education and career choices.

Healthcare & Education Economics
Public University Fees: Subsidy, Access and Institutional Quality

How public university fees balance access, subsidy and quality.

Healthcare & Education Economics
Professional Course Dropout Risk: The Cost Families Ignore

Why professional-course dropout risk should be priced before enrolment.

Personal Finance & Tax Planning
Education Savings Plans: Why Return Assumptions Matter More Than Product Labels

Why assumptions matter more than product labels in education savings.

Healthcare & Education Economics
Human Capital and City Growth: Why Talent Clusters Compound

Why talent clusters can accelerate city growth.

Healthcare & Education Economics
Build an Education Decision Scorecard for Families

How families can compare education choices without pretending to forecast one perfect outcome.

Investments & Markets
Equity Risk Premium in India: What Investors Are Being Paid for Uncertainty

What indian investors are being paid for taking equity uncertainty.

Investments & Markets
Earnings Yield vs Bond Yield: The Cross-Asset Valuation Test

How earnings yield and bond yield create a cross-asset valuation test.

Investments & Markets
Market Breadth vs Index Return: Why a Rising Index Can Hide Weak Participation

Why a rising benchmark can hide weak market participation.

Investments & Markets
Foreign Portfolio Flows vs Domestic SIPs: Who Actually Sets Marginal Prices?

How foreign flows and domestic sips interact in price formation.

Property, Real Estate & RERA
Currency-Hedged Returns: Why Foreign Investors See a Different Market

Why foreign investors experience a different return after currency movement and hedging.

Investments & Markets
Index Concentration Risk: When Five Stocks Drive the Benchmark

When a small group of stocks dominates a benchmark.

Investments & Markets
Quality Factor Valuation: When Great Businesses Become Poor Investments

When a high-quality business becomes a poor investment because of price.

Investments & Markets
Small-Cap Liquidity Premium: Reward or Exit Illusion?

Whether the small-cap liquidity premium is a reward or an exit illusion.

Investments & Markets
IPO Supply and Secondary Market Returns: Does Too Much New Paper Matter?

Whether high ipo issuance affects secondary-market returns.

Investments & Markets
Promoter Selling: Liquidity Event, Diversification or Confidence Signal?

How to distinguish liquidity, diversification and negative signalling in promoter selling.

Investments & Markets
Block Deals and Price Discovery: What Large Trades Reveal

What large negotiated trades reveal about liquidity and price discovery.

Investments & Markets
Passive Investing Feedback Loops: How Index Inclusion Changes Demand

How index inclusion changes demand through passive flows.

Investments & Markets
Factor Crowding: When Everyone Owns the Same ‘Smart’ Strategy

When smart-beta factors become crowded.

Investments & Markets
Market Volatility vs Business Risk: Why Price Movement Misleads Investors

Why market price movement can mislead investors about underlying business risk.

Investments & Markets
Drawdown Recovery Math: Why a 50% Fall Needs a 100% Gain

Why large drawdowns require disproportionately larger gains to recover.

Investments & Markets
Valuation Mean Reversion: When Expensive Markets Stay Expensive

When expensive markets stay expensive and why simple averages fail.

Financial Modelling, ERP & Analytics
Terminal Value Risk: Why Most DCF Value Comes From the Least Certain Years

Why terminal value can dominate discounted cash-flow valuation.

Investments & Markets
Cost of Equity in India: Risk-Free Rate, Beta and Country Premium

How risk-free rate, beta and country premium shape cost of equity in india.

Corporate Finance & CFO
Conglomerate Discount: Diversification Benefit or Capital Allocation Penalty?

Whether diversification deserves a discount or provides resilience.

Investments & Markets
Holding Company Discount: Tax, Control and Liquidity Explained

Why holding companies trade below look-through asset value.

Investments & Markets
Closed-End Fund Discount: Why Market Price Diverges From NAV

Why market price can diverge from closed-end fund nav.

Investments & Markets
Market Microstructure: Spread, Depth and the Cost of Urgent Trading

How spread, depth and order urgency create trading cost.

Investments & Markets
Circuit Filters and Price Discovery: Protection vs Delayed Adjustment

Whether circuit filters protect investors or delay price adjustment.

Financial Modelling, ERP & Analytics
Securities Lending Economics: Yield Enhancement and Counterparty Risk

How securities lending can enhance yield while creating operational and counterparty risk.

Financial Modelling, ERP & Analytics
Build a Market Valuation Dashboard Without Predicting the Index

How to monitor market valuation without pretending to predict the index.

Energy, Climate & Infrastructure
The New Oil Shock: How War Risk Reprices Inflation Worldwide

How geopolitical oil risk is transmitted into global inflation and growth.

International Economy & Geopolitics
Global Debt at High Rates: Which Economies Face Refinancing Stress?

Which economies face the greatest refinancing stress when global rates stay high.

Investments & Markets
US Fiscal Deficits and Global Bond Yields: Why India Should Care

Why large us fiscal deficits can influence indian bond yields and capital flows.

Property, Real Estate & RERA
China’s Property Slowdown: Commodity Demand and Asian Growth Spillovers

How china’s property slowdown affects commodities and neighbouring economies.

Energy, Climate & Infrastructure
Europe’s Industrial Competitiveness: Energy Cost, Regulation and Ageing

How energy costs, regulation and ageing affect european industrial competitiveness.

International Economy & Geopolitics
Japan’s Rate Normalisation: Why Global Carry Trades Can Unwind

Why bank of japan normalisation can unwind global carry trades.

Investments & Markets
Dollar Strength Cycle: The Pressure on Emerging-Market Currencies

How a strong dollar pressures emerging-market currencies and policy.

Customs & Foreign Trade
Global Food Security: Export Bans, Weather and Fertiliser Dependence

How weather, export restrictions and fertiliser dependence shape global food security.

International Economy & Geopolitics
Defence Spending Boom: Fiscal Trade-Offs and Industrial Winners

How higher defence spending creates industrial winners and fiscal trade-offs.