FPI 扭转了数月的抛售趋势,在强劲的基本面和信心增强的情况下,于 2025 年 10 月向印度股票投入了 648 亿卢比。
FPIs reversed months of selling, pouring ₹6,480 crore into Indian stocks in October 2025 amid strong fundamentals and rising confidence.
2025年10月,在强大的宏观经济基础、改善全球流动性和更具吸引力的估值的推动下,外国证券投资人(FPI)向印度股票注入了6 480卢比,从而扭转了三个月的净提款。
Foreign portfolio investors (FPIs) reversed three months of net withdrawals by injecting ₹6,480 crore into Indian equities in October 2025, driven by strong macroeconomic fundamentals, improving global liquidity, and more attractive valuations.
这一转变反映了在稳定增长、控制通胀以及缓和贸易紧张局势的情况下恢复信心。
Despite a year-to-date net outflow of about ₹1.5 lakh crore, the shift reflects renewed confidence amid stable growth, controlled inflation, and easing trade tensions.
外国证券投资还给债务市场增加了5 546卢比。
FPIs also added ₹5,546 crore to the debt market.
市场基准达到52周的最高点,加上汽车、商品管制小组、银行和消费部门的增长,分析家将消费强度和收入势头作为关键因素。
Market benchmarks hit 52-week highs, supported by gains in auto, FMCG, banking, and consumer sectors, with analysts citing consumption strength and earnings momentum as key factors.