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Japanese bond yields are surging, causing global concern. Political instability in Japan adds to economic uncertainty. Abhishekn Bisen of Kotak Mutual Fund notes the yen carry trade unwinding. US tariffs impact Indian bond yields and the rupee. Despite global uncertainty, India's strong macro fundamentals support bond inflows. Experts suggest investors consider longer-duration bonds.
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Amid market uncertainty, SBI Mutual Fund's Nidhi Chawla suggests a dynamic asset allocation strategy. The SBI Dynamic Asset Allocation Active FoF shifts between 35% and 100% equity based on valuations, earnings, and sentiment. Currently, a balanced 60:40 equity-to-debt allocation is recommended. The fund favors short-duration, high-grade bonds and selective credits, with flexible duration management.
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It has been one of the busiest weeks in the IPO market with multiple issues hitting the Street. From decorative laminates to renewable energy, companies across sectors are testing investor appetite in the primary market. Grey market premiums (GMPs) suggest that some of these listings could deliver strong gains with one even eyeing up to 90% upside on debut.
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News and Media
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