India's Bond Market Stabilizes as RBI Manages Liquidity
India's fixed-income market shows resilience despite volatility. RBI's liquidity measures and supply management anchor yields. Credit markets offer new opportunities for discerning investors.
India's fixed-income market shows resilience despite volatility. RBI's liquidity measures and supply management anchor yields. Credit markets offer new opportunities for discerning investors.
Foreign portfolio investors continue heavy selling in Indian markets, withdrawing over Rs 22,530 crore this month. Analysts cite US bond yields, dollar strength, and trade uncertainties as key factors driving capital outflows.
Investors taking profits on US mortgage bonds may shift to corporate debt, narrowing spreads. Analysts note tight valuations and potential rotation amid record corporate bond sales.
India's 10-year government bond yield remains stubbornly high despite RBI repo rate reductions, increasing borrowing costs for states and corporations while creating market anomalies.
Bloomberg Index Services postpones adding Indian government bonds to its global index until mid-2026, impacting foreign investment flows and bond market sentiment.
Indian government bond yields climbed after Bloomberg deferred inclusion in its Global Aggregate Index to mid-2026, disappointing markets expecting $20-25 billion inflows.
Bloomberg Index Services postpones inclusion of Indian government bonds in its Global Aggregate Index, citing operational hurdles and market feedback.
Bloomberg Index Services postpones adding Indian bonds to its Global Aggregate Index, disappointing investors and pushing bond yields higher as market reacts.
Power Finance Corporation announces a major ₹5,000 crore NCD issue with a 7.3% coupon rate for retail investors. The 15-year bonds mark India's largest retail bond offering since 2018.
President Trump's plan to buy mortgage bonds aims to lower rates and boost affordability. But experts warn it could backfire, reigniting home price inflation if supply doesn't keep up. Read the analysis.
Greater Chennai Corporation raises ₹205.59 crore via its first green municipal bond on NSE to fund the Kodungaiyur dumpyard biomining project. The bond was oversubscribed 5 times.
US President Trump announces a $200 billion mortgage bond purchase plan using Fannie Mae and Freddie Mac cash reserves to lower rates. Experts question if it tackles the core housing shortage. Read the full analysis.
The US expands its visa bond pilot to 38 more countries, requiring deposits up to $15,000. Learn what this means for travellers from South Asia and beyond. Is your country affected?
The Trump administration expands its visa bond programme to 25 countries, including Venezuela and several African nations. The $15,000 bond aims to curb visa overstays. Full list inside.
The US has added Bhutan, Botswana, and five other nations to its visa bond list, requiring a $15,000 deposit. Learn the details and implications for applicants.
US widens visa bond rule, adding Bhutan, Botswana, and 5 others. Applicants may need $5,000-$15,000 bond, raising costs. Learn the full impact and list of nations affected.
Daily corporate bond trading hit a record $50 billion in 2025, fueled by AI infrastructure spending and private credit growth. Experts predict even higher volumes for 2026. Read more.
India's fixed income market is shaped by heavy bond supply and RBI's liquidity tools like OMOs & VRRs, not macro fears. Discover the credit-led strategy for returns in 2026.
Adani Enterprises enters the bond market with a Rs 1,000 crore NCD offering to reduce its substantial debt. Retail investors get 35% allocation. Subscription opens Jan 6.
Vishal Goenka of IndiaBonds.com explains the retail shift in bond investing, key risks for 2026, and policy changes needed for a deeper market. Discover insights for your portfolio.
Mark Zuckerberg reveals Facebook's secret weapon was its data-driven Growth Team, not big ad budgets. Discover how product features like 'People You May Know' drove virality. Read more!
Bond carry trades, profiting from India's high yields and low funding costs, are surging. With RBI holding rates, investors target 1% returns. Learn the strategy and risks for 2025.
Markets are calm but investors are preparing for a potentially less independent, more divided Federal Reserve as President Trump signals a new chair aligned with his agenda for lower interest rates.
Gurgaon SIT makes sixth arrest in multi-crore imported liquor racket. Accused Mudit Kumar diverted untaxed liquor, bypassing all checks. Raid earlier recovered ₹10 crore worth of illegal foreign liquor.
India's USD 1.1 trillion retail sector is set for double-digit growth in 2026, driven by demand from Tier II & III cities, premiumisation, and tech. Experts highlight margin-led expansion and persistent challenges.
Government bond yields in India saw their biggest single-day fall since mid-May after the RBI announced fresh measures to inject ₹2.9 lakh crore into the banking system. Read more on the market's reaction and expert analysis.
Indian government bonds surged as the RBI announced a massive ₹2.9 lakh crore liquidity injection, easing supply concerns. The 10-year yield saw its sharpest single-day fall since May. Read the full analysis.
The Indian rupee ended modestly lower at 89.7850 against the US dollar on Wednesday. Corporate dollar demand and NDF market maturities offset gains in regional peers. Forex swap announcement impacts forward premiums.
Credit risk funds delivered stellar 10% returns in 2025, while long-term debt funds lagged at 2.8%. Experts suggest a barbell strategy for 2026. Discover the top-performing dynamic bond funds.
Plan your trades! US stock and bond markets have special hours for Christmas 2025 and New Year 2026. Know the early closures and full holidays to avoid settlement delays.