印度调整债券拍卖, 持有10年的收益率接近6.52%, 等待利率决定。
India adjusts bond auctions, holding 10-year yields near 6.52% amid rate decision wait.
印度的10年债券收益率在政府调整其借贷计划时保持在近6.52 % , 将超长期债券发行量减少,并将10年拍卖次数增加到每周3,200亿卢比,这引起了人们对收益压力的担忧,尽管后半笔借款总额略微下降到6.77万亿卢比。
India’s 10-year bond yield held near 6.52% as the government adjusted its borrowing plan, reducing ultra-long bond issuance and increasing 10-year auctions to 320 billion rupees weekly, raising concerns over yield pressure despite a slight overall drop in second-half borrowing to 6.77 trillion rupees.
贸易商们等待着印度储备银行的政策决定,多数人期望保持利率,尽管一些机构预测,在通货膨胀和全球贸易关切的情况下,将削减25个基点。
Traders await the Reserve Bank of India’s policy decision, with most expecting a rate hold, though some institutions predict a 25-basis-point cut amid inflation and global trade concerns.
债券市场稳定得到最近削减储备比率后净发行量减少和流动性减少的支持,但中期债券份额上升可能缩小收益曲线。
Bond market stability is supported by reduced net issuance and liquidity from recent reserve ratio cuts, but rising mid-term bond shares may narrow yield curves.