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Markets jittery, but fundamentals offer comfort: Dipan Mehta

by Anupam Nagar
January 15, 2026
in Business
Reading Time: 4 mins read
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Indian fairness markets have entered a uneven part, unsettling traders who had stepped into the brand new 12 months with excessive expectations from the earnings season. Current considerations round labour code changes, highlighted by early indicators from IT bellwether TCS, seem to have added to the nervousness, whilst broader fundamentals stay intact.

Dipan Mehta, Director, Elixir Equities admits to being stunned by the current correction. “Even I’m perplexed. I used to be very optimistic from Diwali and into the New 12 months and anticipated the earnings season to convey good tidings. A minimum of in the interim, I’ve been proved incorrect,” he mentioned. Nonetheless, Mehta cautioned towards studying an excessive amount of into short-term market actions, noting that volatility is an element and parcel of fairness investing. He stays optimistic that the present earnings season may turn into one of many higher ones seen within the final seven to eight quarters and probably lay the inspiration for a recent rally past earlier highs. Whereas markets are but to decisively cross these ranges, he believes 2026 may nonetheless form up as a powerful 12 months for portfolios, even when traders should endure a part of turbulence within the close to time period.

On the theme of financialisation of financial savings, Mehta prefers selective publicity somewhat than a broad wager on asset administration firms (AMCs). Whereas acknowledging that AMCs stay a great long-term story, he believes wealth administration companies provide larger flexibility and resilience. He pointed to the sturdy efficiency of firms like Anand Rathi Wealth and 360 One, in addition to mutual fund distributor Prudent, as higher performs on this development. Based on him, AMCs face intense competitors and periodic regulatory interventions on pricing and commissions, whereas wealth managers profit from diversified enterprise fashions. He additionally flagged stockbroking platforms as an rising alternative, citing Groww’s speedy scale-up and its potential to diversify its product choices. That mentioned, Mehta added that he would proceed to remain invested in AMCs and expects one other sturdy 12 months for the section.

After a chronic interval of underperformance, Mehta can also be turning incrementally optimistic on the IT companies sector. “I get supportive on IT and regularly extra optimistic,” he mentioned, highlighting synthetic intelligence as the following progress catalyst. Whereas he’s unsure whether or not AI can instantly drive double-digit progress for giant IT companies companies, he believes a number of midcap firms are effectively positioned to profit from this transition. Tata Elxsi’s current efficiency, aided by a revival in software-defined car tasks within the automotive vertical, is one such instance. With valuations now affordable, investor positioning mild, and base results turning beneficial, Mehta sees scope for IT shares to outperform after almost a 12 months and a half of lagging the market. For conservative traders, he believes large-cap IT names stay a secure wager, declaring that AI already contributes round 6% to TCS’s revenues and is rising at a wholesome sequential tempo.

Commenting on Infosys’ quarterly efficiency, Mehta described the numbers as largely predictable, stressing that the actual focus must be on administration commentary and the contribution of AI-led tasks. He views software program companies as a long-term play, acknowledging that even when 2026 proves muted, a tipping level pushed by AI adoption may emerge later this 12 months or early subsequent 12 months, resulting in an enchancment in progress charges.

Stay Occasions


Wanting throughout sectors, Mehta expects earnings restoration to be broad-based. Excluding exporters closely depending on the US market, he believes most domestic-facing industries ought to submit wholesome numbers, aided by a powerful festive and marriage ceremony season. Autos, cement, metals and, over time, IT companies are among the many sectors he expects to do effectively. He’s significantly upbeat on metals, citing greater costs and the potential for sturdy outcomes from firms similar to Vedanta, Hindustan Copper, NMDC and Nalco. Banking and NBFCs additionally look like on strong footing, supported by encouraging pre-quarter updates and strong enterprise momentum, as seen in Bajaj Finance’s December-quarter efficiency. In Mehta’s view, if earnings proceed to enhance, capital flows—home or abroad—will ultimately observe.

On Reliance Industries, nonetheless, Mehta strikes a extra cautious notice. He believes the inventory’s outlook is much less about near-term earnings and extra about its evolving company construction. As Reliance more and more resembles a holding firm, the prospect of separate listings for Jio and the retail enterprise raises the opportunity of a holding firm low cost being utilized to the guardian. Whereas the oil-to-chemicals enterprise stays a powerful money generator, Mehta questions whether or not it deserves a better valuation a number of. He argues {that a} formal demerger, permitting shareholders to instantly personal Jio and Reliance Retail, would unlock most worth, although administration has to this point proven little inclination to pursue that route. Nonetheless, he concedes that Reliance’s administration has a historical past of unusual the market and that sturdy working situations throughout its core companies may but translate right into a standout quarter. For now, Mehta’s strategy stays earnings-focused. Markets could sway unpredictably within the quick time period, he says, however sustained enchancment in company income is what in the end drives sturdy rallies.



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