7月,外国证券投资者在印度股票和债务市场投资54 727欧元。 Foreign Portfolio Investors (FPIs) invested ₹54,727 crore in India's equity and debt markets in July.
外国证券投资商7月份在印度股票和债务市场投资54 727英镑,其驱动因素是2024-25财政年度强劲的经济增长前景为6.5%-7%。 Foreign Portfolio Investors (FPIs) invested ₹54,727 crore in India's equity and debt markets in July, driven by a strong economic growth outlook of 6.5-7% for FY 2024-25. 专家将流入归因于印度经济表现的改善、美国无风险利率的降低以及印度政府可能提高信用评级。 Experts attribute the inflow to India's improved economic performance, lower risk-free rates in the US, and the Indian government's potential credit rating upgrade. 稳定的政治环境、正在进行的经济改革和具有吸引力的市场估值也促成了复苏。 A stable political environment, ongoing economic reforms, and appealing market valuations also contributed to the resurgence. 然而,自印度预算以来,FPI一直是净卖家,自7月23日以来撤出2091.9亿卢比,8月前两个交易日的股票净卖出量为102.7亿卢比。 However, FPIs have been net sellers since the Indian budget, pulling out ₹20,919 crore since July 23, with net selling of equities at ₹1,027 crore in August's first two trading days.