2026年2月,印度股市在强劲的国内需求和投资者信心的驱动下上升,尽管尼夫提50号股票略微下跌。
India’s stock market rose in February 2026, driven by strong domestic demand and investor confidence, despite a slight dip in the Nifty 50.
2026年2月,印度的Nifty Next 50 提高了2.76 % , 年增长率为22.16%,中冠指数和小冠指数也呈上升趋势,而Nifty 50 每月下降0.56%,但每年上升13.80%。
In February 2026, India’s Nifty Next 50 rose 2.76% and posted a 22.16% annual gain, with midcap and smallcap indices also advancing, while the Nifty 50 declined 0.56% monthly but rose 13.80% yearly.
消费者可持续性、自动化和能源部门带动了收益,而信息技术下降了19.54%。
Consumer Durables, Auto, and Energy sectors led gains, while IT dropped 19.54%.
强劲的国内需求和差值改善推动了业绩,而全球关切则影响到信息技术。
Strong domestic demand and margin improvements drove performance, while global concerns affected IT.
国防、金属和汽车每年的回报率最高。
Defence, metals, and auto delivered top annual returns.
2月份价值系数上升了5.9%,今年迄今上升了43%。
The value factor rose 5.9% in February and 43% year-to-date.
在RBI目标范围内,1月份通货膨胀率下降到2.75%。
Inflation fell to 2.75% in January, within the RBI’s target range.
外国投资者净流入37,804克鲁塞罗,包括流入股票22,615克鲁塞罗,反映出对印度经济的信心日益增强。
Foreign institutional investors recorded net inflows of ₹37,804 crore, including ₹22,615 crore into equities, reflecting growing confidence in India’s economy.