印度的共同基金流入量在2025年12月下降了6%,原因是尽管部门投资方案创下纪录,但债务基金大量外流。
India's mutual fund inflows fell 6% in Dec 2025 due to big debt fund outflows, despite record SIPs.
2025年12月,印度的股票共同基金流入量下降了6%,达到28 054克朗,其驱动因素是2024年同月下降32%,但仍高于10月的水平。
In December 2025, India's equity mutual fund inflows dipped 6% to ₹28,054 crore, driven by a 32% drop from the same month in 2024, though still above October levels.
灵活资本基金以10 019欧元的流入额为先导,而黄金出口信托基金的流入额则猛增至11 647欧元。
Flexi-cap funds led with ₹10,019 crore in inflows, while gold ETFs saw a surge to ₹11,647 crore.
尽管SIP的零售业对投资者兴趣很强, 创下了创纪录的31,002亿卢比, 但由于债务基金的流出量大约为1.32亿卢比, 基金资产总额下降至799.98万卢比.
Despite strong retail interest in SIPs—reaching a record ₹31,002 crore—overall mutual fund assets declined to ₹79.98 lakh crore due to massive debt fund outflows of ₹1.32 lakh crore, primarily from liquid funds.
2025年的SIP超过3.04万亿瓦,反映了投资者持续的信心,特别是在年轻人口和小城镇中。
SIPs for 2025 surpassed ₹3.04 trillion, reflecting sustained investor confidence, especially among younger demographics and smaller towns.