尽管全球经济压力很大,印度债券预测到2025年将表现强劲。
Indian bonds forecast to perform strongly in 2025, despite global economic pressures.
预计印度债券将在预期的中央银行利率削减、强劲的国内需求和外国资本流入的推动下,到2025年将保持强劲业绩。
Indian bonds are forecast to continue their strong performance into 2025, driven by expected central bank rate cuts, robust domestic demand, and foreign inflows.
量子资产管理预测,到2025年年中,10年债券收益率将下降50个基点,而信托互助基金预计利率将降至6.25%-6.5%。
Quantum Asset Management predicts a 50 basis point drop in the 10-year bond yield by mid-2025, while Trust Mutual Fund expects the rate to fall to 6.25%-6.5%.
尽管美元坚挺,美国国库收益增加,但印度债券仍然具有弹性,受益于它们被列入JP摩根和FTSE Russell等全球指数。
Despite a stronger dollar and higher US Treasury yields, Indian bonds have remained resilient, benefiting from their inclusion in global indexes like JPMorgan and FTSE Russell.