印度市场高达52周, 以银行业、FMCG、汽车股票、高收入及外资流入为首。
Indian markets hit 52-week highs led by banking, FMCG, and auto stocks, strong earnings, and foreign inflows.
印度的股票市场在2025年10月17日上升,Sensex和Nifty的股票市场达到了52周的最高点,银行业、FMCG、汽车股票、外国资金流入和对即将到来的RBI利率削减的乐观情绪的强劲增长为这些市场火上加油。
India’s stock markets rose on October 17, 2025, with the Sensex and Nifty reaching 52-week highs, fueled by strong gains in banking, FMCG, and auto stocks, foreign fund inflows, and optimism over upcoming RBI rate cuts.
尼夫提50号在25,709.85时关闭,上升0.49%,而塞内克斯号在83,952.19时结束,增长0.58%,标志着它们连续第三日取得收益。
The Nifty 50 closed at 25,709.85, up 0.49%, while the Sensex ended at 83,952.19, gaining 0.58%, marking their third consecutive day of gains.
关键驱动因素包括来自依赖、CICI银行和Nestle India的强劲收益、原油价格下跌和美元疲软。
Key drivers included strong earnings from Reliance, ICICI Bank, and Nestle India, falling crude oil prices, and a weakening dollar.
尼夫提银行创下历史新高, 在全球经济不确定的情况下, 黄金暴涨到一个新的高峰。
The Nifty Bank hit a record high, and gold surged to a new peak amid global economic uncertainty.
信息技术部门由于收入和差值疲软而下降,而中小部分指数的表现则好坏参半。
The IT sector declined due to weak earnings and margin concerns, while mid- and small-cap indices showed mixed performance.