When the Fed Cuts Rates, It Cuts Deeper into Global Risk: What It Means for India’s Economy

The Federal Reserve lowered its policy rate by another 25 basis points on 29 October 2025 the second reduction inside two months taking the federal-funds target to 3.75%-4.00%. What might once have been a routine shift in monetary posture is now a more complicated signal: the world’s largest economy is moving from aggressive inflation control…

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India’s Risk Landscape in 2025: Turning Global Turbulence into Strategic Resilience

Global markets enter 2025 under an unusually dense set of cross-currents, high policy uncertainty, an escalation of protectionist trade measures, renewed geopolitical shocks and concentrated tech valuations. For India these forces are not abstract: they translate into concrete risks to growth, inflation, external balances, corporate earnings and supply-chain security. The question for policymakers, corporate boards…

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