2月,印度的共同基金资产在股本流入下降和市场波动中下跌了4%。
India's mutual fund assets dropped 4% in February amid equity inflows fall and market volatility.
2025年2月,印度共同基金行业管理的资产(AUM)大幅下降4%,从1月份的67.3百万卢比降至64.5百万卢比。
In February 2025, India's mutual fund industry saw a significant drop in assets under management (AUM) by 4%, totaling Rs 64.5 lakh crore from Rs 67.3 lakh crore in January.
股本流入量下降26%,降至29 303卢比,而债务互助基金流出6 525卢比。
Equity inflows fell by 26% to Rs 29,303 crore, while debt mutual funds experienced outflows of Rs 6,525 crore.
尽管出现这些下降,零售投资者继续通过部门投资方案进行投资,但捐款略有下降,降至25 999卢比。
Despite these declines, retail investors continued to invest through SIPs, though contributions dropped slightly to Rs 25,999 crore.
AUM和股本流入的减少可归因于市场波动和对发达市场利率上升的担忧。
The decrease in AUM and equity inflows can be attributed to market volatility and concerns over rising interest rates in developed markets.