News

Scotia Wealth Management, part of the Scotiabank group of companies, and ICICI Bank Canada, a wholly-owned subsidiary of ICICI Bank Limited (NYSE: IBN), a leading private sector bank in India, have ...
The ICICI Prudential Banking and Financial Services Fund Growth has an AUM of 9374.76 crores & has delivered CAGR of 27.06% in the last 5 years. The fund has an exit load of 1.00% and an expense ...
logo is seen inside its headquarters in Mumbai. (Photo source: Reuters) The Reserve Bank of India (RBI) made a major intervention in the foreign exchange market in March, by buying a net $14.36 ...
ICICI & PNB On May 10, 2025 from 02:30 AM to 05:30 AM IST, HDFC Bank will undertake extended maintenance, during which key features on net banking and the mobile banking app will be temporarily ...
Punit has over 16 years of experience in Information Technology leadership roles in various Fortune 500 companies, most of them in the financial services arena. Most recently, Punit was the Chief ...
The lender’s bottomline beat expectations, as Bloomberg analysts had estimated the bank to post Rs 17,800 crore net profit in the quarter. The banks’ board on Saturday approved plans to raise ...
Egypt’s banking sector recorded a significant improvement in its net foreign asset (NFA) position, which widened by USD 4.86 billion month-on-month to reach USD 15.0 billion in March, up from USD 10.2 ...
Deutsche Kreditbank (DKB) wants to play a pioneering role in the use of artificial intelligence in banking through a cooperation with ChatGPT developer OpenAI. As the two companies announced on ...
To enhance the stress testing framework further, a liquidity stress test framework for NBFCs (non-banking finance companies) will be developed in-house by the RBI. Further, the central bank will ...
The banking sector in the country saw its net foreign assets (NFA) surge by 47% to $15 billion in March, from $10.2 billion in February, according to figures released by the Central Bank of Egypt (CBE ...
Fund evaluation across critical parameters for better decision making. Study period is 3 years. Volatility represents the standard deviation of fund returns that is, how much the fund returns have ...