印度共同基金股本流入量在2026年1月下降了14%,原因是全球紧张局势和外国投资者退出,尽管总体资金流入量因债务和黄金需求强劲而上升。
Indian mutual fund equity inflows dropped 14% in January 2026 due to global tensions and foreign investor withdrawals, though overall fund inflows rose on strong debt and gold demand.
印度股票共同基金流入量在2026年1月每月下降14%至24 028欧元, 原因是地缘政治紧张以及外国投资者撤回40亿美元。
Indian equity mutual fund inflows fell 14% month-on-month in January 2026 to ₹24,028 crore, driven by geopolitical tensions and a $4 billion withdrawal by foreign investors.
主要指数下降,尼夫提50和森塞克斯下降3.1%和3.5%,中小股股票进一步下降。
Major indices declined, with Nifty 50 and Sensex dropping 3.1% and 3.5%, while small- and mid-cap stocks fell further.
尽管股权下跌,整体共同基金流入额激增至1.56万亿卢比,得益于债务、混合型和黄金ETF的强劲需求。
Despite the equity dip, overall mutual fund inflows surged to ₹1.56 lakh crore, boosted by strong demand in debt, hybrid, and gold ETFs.
每月SIPs保持稳定,为31 002 克郎,比一年前增加17%。
Monthly SIPs remained stable at ₹31,002 crore, up 17% from a year earlier.
管理项下的资产总额增至80.76拉克。
Total assets under management rose to ₹80.76 lakh crore.