
Recent analyses highlight gold's role in enhancing portfolio returns without significantly increasing risk, especially when combined with equity and debt. In 2025, gold and silver outperformed major equity indices, while Indian equities showed modest gains. Market uncertainty in early 2026, driven by mixed earnings, geopolitical tensions, and tariff issues, suggests investors should focus on disciplined diversification. Experts recommend balancing bullion, domestic equities, and global stocks to build resilient portfolios amid evolving economic conditions.
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