印度计划在H2 2025-26年借款6.77百万卢比,调整债券到期日并扩大开关拍卖,以管理债务成本和流动性。
India plans to borrow ₹6.77 lakh crore in H2 2025-26, adjusting bond maturities and expanding switch auctions to manage debt costs and liquidity.
印度政府计划在2025-26财政年度后半期借款6.77亿卢比,旨在稳定债务成本和支持市场流动性。
The Indian government plans to borrow Rs 6.77 lakh crore in the second half of fiscal year 2025-26, aiming to stabilize debt costs and support market liquidity.
它正在增加发行10年债券以锁定收益,提高3年债券和5年债券的份额,同时略微减少超长40年债券和50年债券。
It is increasing issuance of 10-year bonds to anchor yields, raising shares of 3-year and 5-year bonds while slightly reducing ultra-long 40- and 50-year bonds.
已经总计89,907亿卢比的交换拍卖将扩大, 以管理即将到来的还款和控制借款成本, 反映出财政可持续性的平衡方法.
Switch auctions, already totaling Rs 89,907 crore, will expand to manage upcoming repayments and control borrowing costs, reflecting a balanced approach to fiscal sustainability.