印度债券收益率在2025年10月6日下降,原因是国家借贷额低于预期,中央银行发出 dovish 信号。
Indian bond yields dropped on Oct. 6, 2025, due to lower-than-expected state borrowing and dovish central bank signals.
印度政府债券收益率在2025年10月6日下降,因为各州的借款低于预期——2.82万亿卢比,而预测的减少供应需求为3.25万亿卢比。
Indian government bond yields fell on October 6, 2025, as states borrowed less than expected—2.82 trillion rupees versus a forecast of 3.25 trillion—reducing supply concerns.
10年基准收益率下降到6.5029%,得到中央政府计划的支持,在与RBI谈判之后,将发行的超长债券减少,并增加四家主要国有银行的投资限额。
The 10-year benchmark yield dropped to 6.5029%, supported by central government plans to issue fewer ultra-long bonds and increased investment limits from four major state-owned banks after talks with the RBI.
在2025年降低了100基点的利率和低通胀之后,中央银行的 dovish 立场提高了对12月削减利率的预期,预计2月将再次削减。
The central bank’s dovish stance, following a 100-basis-point rate cut in 2025 and low inflation, boosted expectations of a December rate cut, with some anticipating another in February.