Which Finomint Research Service Actually Fits How You Invest?

Finomint publishes research across eight distinct services — from long-term equity coverage to weekly index options reads — and it’s reasonable to not know which one matches how you actually invest. The honest starting point isn’t “which service is best,” it’s “what’s your time horizon and how much risk are you actually comfortable carrying.” Here’s […]
Swing Trading With a Fundamental Filter: How a Setup Actually Gets Published

A clean-looking breakout on a chart is not, by itself, a reason to buy anything. Plenty of technically perfect setups are attached to companies with deteriorating fundamentals, and plenty of fundamentally sound companies never produce a tradeable technical setup at all. Finomint’s swing trading research is built around the idea that a setup only qualifies […]
Why Every Stock Has Its Own Options Story — And Why Index IV Won’t Tell You It

Nifty and Bank Nifty options move as a basket — the index’s implied volatility reflects a blended view across dozens of underlying stocks. Individual stock options don’t have that luxury. An earnings surprise, a management change, or a single sector headline can send one stock’s IV to a multi-month high while the index itself barely […]
Rollover, Basis and Build-Up: Reading the Futures Market Like a Pro

Two stocks can move exactly the same amount in price and mean completely different things underneath. A move backed by fresh institutional positioning and one caused by short-covering look identical on a candlestick chart — the futures data is what tells them apart. Finomint’s stock futures research goes beyond price direction to track rollover percentages, […]
Beyond the Tip: What Actually Goes Into a Full Equity Research Report

A Buy rating with a target price is the headline of an equity research report — but it’s the last page, not the first. Everything before it is the working: the business analysis, the industry context, the financial model, and the valuation math that the rating is actually derived from. Understanding that structure is the […]
What Is a Small Case? Thematic Investing, Explained Simply

Buying a stock because you believe in a story — India’s manufacturing push, the renewable energy transition, the digital economy — is a reasonable instinct. Picking the right five or ten stocks to express that story, and rebalancing them as the story evolves, is the harder part. That’s the gap a small case is built […]
Decoding the Nifty Option Chain: PCR, Max Pain and IV Explained

Most people who look at an option chain see a wall of numbers. Underneath that wall is a genuinely useful map of where the market thinks price is headed, and where large participants have placed their bets. Finomint’s index options research reads the Nifty and Bank Nifty option chains ahead of every weekly and monthly […]
Gold, Crude and Copper: How Global Macro Moves Commodity Prices

Bullion, energy and base metals trade on a completely different logic from agri commodities. Instead of monsoon and mandi arrivals, the variables that matter are the US Dollar Index, real interest rates, OPEC+ production quotas, and Chinese industrial demand. Finomint’s commodity research covers gold, silver, crude oil, natural gas, and base metals like copper, zinc […]
From Farm to Futures: A Beginner’s Guide to Agro Commodity Research

Agricultural commodities move to a rhythm that has nothing to do with quarterly earnings calls or central bank meetings. A late monsoon, a sudden export ban, a bumper mandi arrival — any one of these can move soybean, cotton, jeera or chana prices more in a week than most equities move in a quarter. Finomint’s […]
Every Stock Has a Story: Why SEBI-Registered Research Actually Matters

Open any trading app in India today and you’ll find no shortage of opinions — a WhatsApp group calling the next multibagger, a YouTube channel promising a “sure-shot” breakout, a Telegram tip that arrives with no context at all. What’s harder to find is research: the kind that shows its working, states its risks, and […]