India (INR, Rupee) Economic & Currency Analysis

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Long Term Stock Rating

Technical Analysis / Charts

Investor Survey (help)

India's Economic Freedom Ranking?
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Govt Transparency & Stability?
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Economic Diversity & Opportunities?
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SWOT Strengths > SWOT Weaknesses?
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SWOT Opportunities > SWOT Threats?

Survey Resources (help)

India's Transparency Rankings
Economic Freedom Results
India's Quality of Life Ranking
Calendar of Important Economic News
Global Innovation Index

Forex (FX) Currency Resources

Forex (FX) Currency Converter
Historical Currency Exchange Rates
Forex (FX) Trading Services & Practice
World Factbook Stats and Figures

India ETF Funds

ISE Chindia (FNI)
India Portfolio (PIN)
Indian Rupee Currency Fund (ICN)
India Earnings Fund (EPI)

India (INR, Rupee) Currency Research Report

India Export Partners

Positive for Investment Growth (SWOT)

Negative for Investment Growth (SWOT)

Industry & Commodity Exports

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India (IND) Country Profile

India’s Economy is the eleventh largest in the world by nominal GDP and the fourth largest by purchasing power parity. The Service industry, Industrial and agricultural sector in India makes up about 55%, 28% and 17% of GDP respectively. Agriculture is the predominant occupation in India, accounting for about 52% of employment and major agricultural products include rice, wheat, oilseed, cotton, jute, tea, sugarcane, potatoes, cattle, water buffalo, sheep, goats, poultry and fish. The industrial sector accounts for approximately 14% of jobs in India and major industries include telecommunications, textiles, chemicals, food processing, steel, transportation equipment, cement, mining, petroleum, machinery, information technology enabled services and pharmaceuticals.

India Country Flag Image & Analysis

India Country & Currency Analysis Research Report (edit / improve) India (INR) has a highly regulated economy; however, recent liberalization has transformed the economy towards a capitalist, market-based system. India's Fundamental Currency Analysis (short term investment): India’s currency is fairly valued with very low investment flow potential combined with very high purchase price parity potential. India's Value Investor Survey (short term investment): India’s economic environment is unfavorable for long term economic growth due to low scores on economic freedom, transparency, economic diversity, and the SWOT analysis. India's General Trading Partners: Belgium, Pakistan, the UK, Japan, and the US are the top export partners. India's Commodity Trading Partners: India produces a significant amount of staples for domestic use and needs to import energy. SWOT Analysis of India: The leading Indian strength is their supply of natural resources, while the main weakness is a lack of infrastructure. India's Currency Trading Strategy: A fairly-valued currency, very low investment flow potential and an unfavorable business environment leads to a negative outlook for Indian investments. For our entire list of country & currency analysis, see the Country & Currency Analysis home page.

Investment Impacts (help)

Pakistan Country Flag Image & Analysis

Pakistan Country & Currency Research Report (edit / improve) Pakistan (PKR) has a service-based economy that is moving from a centralized to a more market based system. Pakistan's Fundamental Currency Analysis (short term investment): Pakistan’s currency is undervalued according to the purchase price parity and interest rate parity analysis. Pakistan's Value Investor Survey (short term investment): Pakistan’s economic environment is very unfavorable for long term economic growth due to low scores on government transparency and economic diversity. Pakistan's General Trading Partners: Saudi Arabia, the UK, Japan, Hong Kong and Israel are the top export partners, while the leading industry is materials production. Pakistan's Commodity Trading Partners: Pakistan produces many materials for domestic and export use. SWOT Analysis of Pakistan: Terrorism is Pakistan’s leading threat to short term economic development. Pakistan's Currency Trading Strategy: An undervalued currency, high investment flow potential, but very unfavorable business environment leads to a neutral outlook for Pakistani investments. For our entire list of country & currency analysis, see the Country & Currency Analysis home page.

India's relationship with Pakistan is extremely volatile. These nuclear rival's raise the risk of repeated wars that are financial devastating and raise the investment risk of all countries in the region.

Telecom Industry Buy, Sell, Hold Indicator

Telecom Industry Research & Analysis (edit / improve) The telecom industry includes companies who help transmit information for the purposes of communication. Telecom Value Investing Conclusion Based on WikiWealth's Wall Street analysis, this industry is a Buy. The Main Street analysis is also a Buy, with SWOT strengths great than weaknesses and SWOT opportunities much greater than threats. Telecom Trade Hubs: Some of the main telecom hubs include india and the US, the main commodity in the telecom industry is copper. Telecom Trading Strategy: The telecom industry tends to be sensitive to economic cycles. Look for undervalued telecom investments during economic recessions when stock prices are low and sell telecom investments during the late stages of a bull markets when stock prices are high. The global economy is currently in a recession, therefore, it is the perfect time to purchase telecom investments. Upward sloping stock charts and financial news may indicate a selling opportunity while the opposite means that stocks are becoming undervalued. For our entire list of industry research reports, including trends, statistics and ratios, click here: Industry Research & Analysis Home Page.

Technology Industry Buy, Sell, Hold Indicator

Technology Industry Research & Analysis (edit / improve) The technology industry broadly includes companies whose primary function is to create innovative products and processes. Information technology deals with the management and processing of information. Technology Value Investing Conclusion Based on WikiWealth's Wall Street analysis, this industry is a Hold with slightly negative potential. The Main Street analysis says a Buy, with SWOT strengths much great than weaknesses and SWOT opportunities equal to threats. Technology Trade Hubs: Global centers of innovation include: the US, India, Japan, Israel, Korea, and Taiwan, while the main technology commodities include aluminum, copper, and silicon. Technology Trading Strategy: The technology industry tends to be sensitive to economic cycles. Look for undervalued technology investments during economic recessions when stock prices are low and sell technology investments during the late stages of a bull markets when stock prices are high. The global economy is currently in a recession, therefore, it is the perfect time to purchase discretionary investments, because business significantly increase technology investments that they postponed during the recession. Upward sloping stock charts and financial news may indicate a selling opportunity while the opposite means that stocks are becoming undervalued. For our entire list of industry research reports, including trends, statistics and ratios, click here: Industry Research & Analysis Home Page.

India's advanced telecom and technology industry helps the countries technology industry compete and take business away from rivals in the US and EU.