Past
Events
Revisit our completed seminars, webinars, and investor events. Read reports and watch replays from our archive.
Q1 FY26 Market Outlook Seminar
Our quarterly market briefing provided a comprehensive view of India's macroeconomic indicators, Nifty valuations, and sector rotation themes for the first quarter of FY 2026–26.
Key Highlights
- Nifty 50 fair-value band discussed — consensus range ₹23,000–₹26,500.
- IT and Pharma sectors identified as outperformers for H1 FY26.
- RBI expected to deliver one more rate cut before December 2026.

Speakers
Rahul Mehta
Deepak VermaEvents Archive
Previous Events
Browse our complete events archive. Expand any card to view key highlights, download reports, or watch recordings.

Q1 FY26 Market Outlook Seminar
Our quarterly market briefing provided a comprehensive view of India's macroeconomic indicators, Nifty valuations, and sector rotation themes for the first quarter of FY 2026–26.

Fixed Income & Debt Market Seminar 2026
A deep dive into India's fixed income landscape — covering G-Sec yields, credit spreads, corporate bond opportunities, and the impact of global rate cycles on domestic debt markets.

Union Budget 2026 Live Analysis Webinar
Our economists and tax experts delivered a live, real-time analysis of the Union Budget 2026 — covering fiscal deficit targets, tax slabs, capital expenditure plans, and sectoral winners and losers.

LM Financials Annual Investor Summit 2024
The 2024 edition of LM Financials' flagship summit hosted 350+ investors and covered the post-election market scenario, interest rate expectations, and emerging opportunities in small and mid-cap equities.

Mutual Fund Distributors' Conference 2024
An exclusive conference for empanelled Mutual Fund Distributors, covering AMFI regulatory updates, commission structures, technology tools for client onboarding, and digital distribution best practices.

Investor Meet: Emerging Markets Outlook
An intimate evening session with institutional clients exploring the emerging markets investment thesis — India, Vietnam, Brazil, and Indonesia as key allocation destinations in a diversifying global portfolio.