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.
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.
US President Donald Trump purchased around $100 million in municipal and corporate bonds from November to December, his latest disclosures show. The investments include Netflix and Warner Bros Discovery bonds.
Tech giants issue over $120 billion in bonds for AI infrastructure, but bond investors face risks despite attractive yields. Experts warn of market capacity concerns and prefer stability over hype.
The Indian government is considering tax incentives for sovereign green bond buyers in the upcoming Union budget to boost demand. Investor interest has declined over two years, with subscriptions falling short of targets.
The risky debt market is booming as investors pour capital into triple C bonds and leveraged loans, ignoring political tremors. Strong consumer spending and expectations of stable rates fuel the hunt for high returns.
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.
Donald Trump announces a $200 billion mortgage bond purchase plan to reduce home loan rates and monthly payments. The move, seen as a pre-election push, involves Fannie Mae and Freddie Mac. Read the full analysis.
Emerging market stocks reach a fresh record high as investor focus shifts from Venezuela geopolitics to economic data. EM currencies and bonds also show strength. Read the full analysis.
Venezuela's Caracas Stock Exchange surged over 16% on January 5 as US captured President Maduro. Experts see investor focus shifting to potential new leadership and debt restructuring. Read analysis.
Veteran investor Mark Mobius forecasts double-digit returns for India, allocating 30% of his portfolio. He highlights reforms, tech adoption, and cautions on global uncertainty. Read his full strategy.
Indian rupee faces heightened volatility this week due to Venezuela crisis & global risk-off sentiment. Bankers see it testing 90.50-91/$ before RBI's $10 bn swap on Jan 13. Read more.
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.
Emerging market stocks surge to a near five-year peak in 2026's first session, driven by AI optimism in Asia. Tech shares lead gains as investors seek value beyond US markets.
Emerging Asian stocks, led by tech, surge at 2026 start. South Korea's central bank vows to oppose threats to won stability. Read the full market analysis.
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.
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.
MIN New York collaborates with Nippon Kiz to strengthen its presence in India and global emerging markets. Discover how this partnership will impact the industry.
Invesco's 2026 outlook sees India as the fastest-growing large economy, fueled by reforms and improving US relations. Discover the key drivers and emerging market insights.
India reclaims top spot in Mint's Emerging Market Tracker with a 19.4% export surge in November, outpacing China, Malaysia, and Brazil. Discover the drivers and risks ahead.
Emerging market stocks and currencies post strong weekly gains. Tech-heavy Korea, Taiwan lead rally. Experts say AI trends and Fed's rate path will define 2025 outlook. Read more for key insights.
Japan's Topix index reached an all-time high as a record budget eased debt concerns. The Nikkei nears 51,000 with SoftBank leading gains. Read the full market analysis.
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.
Emerging market currencies and stocks rose 0.4% each, reaching levels last seen in late October, buoyed by a softer dollar and local policy cues amid thin holiday trading. Key moves seen in South Korea, Israel, Turkey, China, and Vietnam.
Wall Street predicts a multi-year boom for emerging markets in 2026, with record inflows and outperforming stocks. Discover why investors are shifting capital from the US. Read more.
Indian equities have posted their worst relative performance among emerging markets in three decades in 2025, driven by slowing earnings and a weak rupee. Get the full analysis.
India's corporate bond market is witnessing a structural shift as regulatory pushes and investor demand drive issuers towards exchange-listed bonds. Discover the data and expert insights behind this trend.