印度经济放缓到近两年的低点,影响股票市场,并促使潜在的RBI利率削减。 India's economy slows to a near two-year low, affecting stock markets and prompting potential RBI rate cuts.
印度的经济增长减慢到9月季度近两年来的最低点,引起人们对股票市场的担忧。 India's economic growth slowed to its lowest in nearly two years in the September quarter, raising concerns about the stock market. 外国投资者已从股票中撤出 26 亿美元,导致 NSE Nifty 50 指数从 9 月的高点下跌 8%。 Foreign investors have withdrawn $2.6 billion from equities, causing the NSE Nifty 50 Index to fall by 8% from its September high. 分析家预测,为刺激经济,可能会降低RBI利率,尽管收入不足构成挑战。 Analysts predict a potential RBI rate cut to stimulate the economy, though earnings weaknesses pose challenges. 尽管经济放缓,有些人仍然对印度的长期增长持乐观态度。 Despite the slowdown, some remain optimistic about India's long-term growth.