ICICI 谨慎的资产管理减少了印度的主权债务投资,转向公司债券。
ICICI Prudential Asset Management decreases India's sovereign debt investments, shifting to corporate bonds.
ICICI Prudential Asset Management Co. 正在减少其动态债券基金中对印度主权债务的投资,将重点转向公司债券。
ICICI Prudential Asset Management Co. is decreasing its investments in India's sovereign debt within its dynamic bond fund, shifting focus to corporate bonds.
该公司首席投资干事Manish Banthia指出,由于最近公司去杠杆化,非金融公司债券的风险较低,回报有利。
The firm's Chief Investment Officer, Manish Banthia, cites low risk and favorable returns from non-financial corporate bonds due to recent corporate deleveraging.
这一战略与印度债务的大量外国投资相吻合,而印度由于被列入全球债券指数而受到刺激。
This strategy coincides with significant foreign investment in Indian debt, spurred by the country’s inclusion in a global bond index.