
Coco Cola IPO in India? | Monday சந்தையில் Recovery-ஆ வீழ்ச்சியா? | PMI | GST | IPS Finance - 620
Gold and silver have remained important investment themes amid market volatility. With investors increasingly turning to precious-metal ETFs for diversification, the key question is whether the current price environment offers an attractive entry point—or whether investors should wait for further corrections. Gold ETFs have already seen strong investor participation in India, with inflows surpassing equity mutual-fund inflows in January 2026.
Meanwhile, Coca-Cola’s India IPO plans are attracting attention. The company is reportedly considering a $1 billion IPO for its Indian bottling business, Hindustan Coca-Cola Beverages, potentially valuing the business at around $10 billion. Reports suggest a draft prospectus could be filed in December, although the timing, size and structure of the issue could still change. The bigger question for investors is the Monday market direction. India's September manufacturing PMI rose to 55.1 from 52.9 in August, while September GST collections jumped 14.7% year-on-year to ₹2.04 lakh crore. These domestic indicators point to continued economic activity, even as global factors, crude prices, interest rates and foreign flows remain important risks for equities.
So, can the market recover on Monday? What should investors watch in Gold and Silver ETFs? What could a Coca-Cola India IPO mean for the Indian IPO market? And what do the latest PMI and GST numbers tell us about the economy?
In this episode of IPS Finance, we decode the precious-metal ETF opportunity, Coca-Cola’s India IPO plans and the key factors that could influence the market’s next move.
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