Stock Market Strategy 2026–2027: Where to Invest ₹1 Lakh Right Now?

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Is the IT sector making a comeback, or is this just a dead-cat bounce? Why are FIIs dumping Indian equities, and how is the market holding up? In this power-packed episode, we sit down with SEBI Registered Research Analyst Vibhor Varshney (13+ years of market experience) to dissect the ground reality of the Indian stock market, mutual funds, options trading, and commodity cycles.

In this video, Vibhor breaks down:

IT Sector Analysis: Why TCS and Tech Mahindra are at attractive valuations and whether you should invest now.

Mutual Fund Reality: The truth behind flexi-cap funds (like Parag Parikh), underperformance during sideways markets, and how to manage your SIPs.

FII Selling & INR Impact: Why FIIs sold over ₹1.17 Lakh Crore, when they will return, and how DIIs are holding up the Indian market.

Option Trading Traps: Why 91% of retail traders lose money, option decay in low-beta stocks like NTPC, and how to properly manage risk.

6-Step IPO Selection Framework: How to filter out bad IPOs, avoid OFS traps, read financial tricks, and pick listing-gain winners.

Gold, Silver & Crypto Outlook: Understanding commodity cycles, inflation hedging, and where the market is headed by mid-2027.

Whether you’re an investor, swing trader, or beginner looking to navigate current market conditions, this video is packed with actionable insights and deep market wisdom. Don’t forget to Like, Share, and Subscribe for more insightful financial conversations!

Disclaimer: This video is for educational purposes only. Always consult a certified financial advisor before making any investment decisions.

Video Timestamps
00:00 – Intro & Why Patience Is Key in Stock Market

00:43 – IT Sector Recovery: Dead Cat Bounce or Long-Term Buying Opportunity?

02:18 – Mutual Fund Reality: Why Flexi-Cap Funds (Parag Parikh) Are Underperforming

03:48 – How to Review Your Mutual Fund Portfolio & When to Exit

04:36 – Why 91% of Retail Traders Lose Money in Options Trading

05:52 – Low-Beta Stock Traps & Position Sizing in Options

07:23 – Gold & Silver Crash Reality: Is the Bull Run Over?

09:12 – Why Sector Rotation Happens & How Big Players Accumulate

10:14 – HBL & Nifty Movement: Why Market Timing Fails

11:58 – How to Analyze IPOs: The 6-Step Selection Formula

13:50 – Red Flags in IPOs: OFS Traps, Debt Issues & Valuation Tricks

15:35 – HDFC Bank & Mergers: Why Patience Is Required

17:15 – FII Selling (₹1.17 Lakh Cr) vs DII Buying: Will FIIs Return to India?

19:10 – Nifty Target for 2027 & Top Sectors to Watch (Railways, Defense, Wedding Season)

20:45 – Crypto Market Reality: Bitcoin & Altcoins Outlook

21:50 – SEBI F&O Margin Rules: Is It Protecting Retail Investors?

22:45 – FII Selling 1.17 Lakh Crore: Impact on Nifty & Indian Market

24:10 – When Will FIIs Return to Indian Stock Market?

25:20 – SEBI New Rules for F&O Trading: Retail Trader Protection?

26:40 – Options Buying vs Option Selling Strategy & Final Tips

Disclaimer : All the videos made on this channel are for educational purpose. Investing and trading in stock markets is a risky business,hence please do your own research or consult your financial advisor before investing .Abhishek Kar doesnt give any tips or calls,simply expresses views for educational purpose.

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