RBI repeals decade-old rules to curb bank lending concentration
The RBI has revoked its 2016 framework that pushed large borrowers to debt markets. The move is expected to boost corporate bank credit by ₹3-4.5 trillion. Read the full analysis.
The RBI has revoked its 2016 framework that pushed large borrowers to debt markets. The move is expected to boost corporate bank credit by ₹3-4.5 trillion. Read the full analysis.
Explore the risk-reward equation of high-yield bonds in India. Learn who should invest, how to read market signals, and get expert insights for smarter decisions.
Fees from US IPOs and stock sales cross 2024's total, hitting $8.78B by Dec 2, 2025. Convertible bonds surge 46%. Discover the key deals and sectors driving growth despite market disruptions.
The Indian rupee plunged to a historic low of 89.76 on Monday amid offshore pressures and US trade deal uncertainty. Bond yields also climbed to 6.57%. Read the full analysis.
India's economy grew at a stellar 8.4% in Q3 FY24, the fastest in six quarters. The government revised its full-year growth estimate upward to 7.6%. Discover the key drivers and what this means for Asia's third-largest economy.
UK's FCA investigates potential market manipulation after OBR's accidental early budget release caused significant bond yield swings. Key details inside.
Indian government bonds declined sharply after better-than-expected 8.2% GDP growth raised doubts about RBI rate cuts. Benchmark 10-year yield rose to 6.5463%. Read analysis.
India's bond market faces significant demand-supply imbalance, pushing yields higher. Discover which mutual fund categories can help investors capitalize on this market shift.
Moody's predicts India will lead emerging market growth with 7% GDP rise in 2025. Despite rupee weakness, companies show strong financial resilience and market access.
Canara Bank's ₹3,500 crore AT-1 bond issue breaks year-long silence in perpetual bond market, paving way for other state-run banks to follow with capital raises.
Online bond platforms revolutionize retail investing in India with digital onboarding, ₹10,000 minimums and transparent RFQ execution. Monthly volumes triple to ₹1,500 crore.
Indian investors flock to corporate bonds for higher returns, but credit ratings from SEBI-registered agencies like CRISIL provide crucial risk assessment. Learn how to navigate the risk-return spectrum safely.
Learn crucial bond investment risks and safety measures from IndiaBonds expert. Discover how to protect your portfolio with proper due diligence and strategic diversification.
Foreign portfolio investment in Indian corporate bonds reaches $1.5 billion in Q1 2024. Explore key trends, regulatory changes, and future outlook for investors.
Nomura Holdings investigates potential profit inflation in its India rates division. The probe focuses on Strips bond valuation amid a six-fold surge in trading volumes. Discover the implications.
Global bonds are heading for their strongest performance since 2020, with the Bloomberg U.S. Aggregate Bond Index returning 6.7% in 2025. Federal Reserve rate cuts overcome deficit concerns, boosting Treasury and corporate debt markets. Read analysis.
Discover how retail investors are transforming India's bond market with insights from IndiaBonds co-founder Vishal Goenka. Learn investment strategies and market trends.
Udaipur's Lakshyaraj Singh Mewar chose an auto rickshaw for a family outing, linking it to the city's James Bond legacy in 'Octopussy'. A unique blend of heritage and modern life.
Discover a safe way to grow your money in volatile markets. Our step-by-step guide shows how to start bond investing in India with only ₹10,000. Learn the risks and rewards today!
Discover the surprising reasons why Indian markets are struggling to reach new peaks despite robust economic growth and controlled inflation. Expert analysis reveals the hidden factors holding back the bull run.
Bank of Baroda's latest analysis reveals promising outlook for India's 10-year government bonds, with yields expected to trade between 6.48% and 6.58% in November, driven by robust foreign institutional investor inflows and favorable market conditions.
After four consecutive weeks of relief, US mortgage rates have reversed trend, with the 30-year fixed rate climbing to 6.22%. Discover how bond market movements are impacting home loan costs and what this means for prospective buyers.
Sovereign Gold Bond 2017-18 series matures with staggering 300%+ returns as RBI announces final redemption price. Discover how gold investments outperformed expectations.
Domestic Institutional Investors pour record funds into Indian equities as FIIs retreat. Discover how this power shift is reshaping India's stock market landscape amid global uncertainties.
Actress Charu Asopa shares emotional note remembering her former father-in-law, revealing how daughter Ziana cherished precious moments with her grandfather.
Former Miss India Celina Jaitly shares precious family moments on social media while her brother Vikrant faces legal challenges in UAE. Emotional throwback photos reveal strong family bonds.
Morgan Stanley predicts strong recovery for Indian stock market with Sensex target of 89,000, citing economic growth cycle rebound and favorable market conditions for investors.
Amid RBI's twists, turns, and OMOs, bond investors face volatility. Discover why long-term discipline might be the key to navigating India's complex debt market landscape.
Asian markets witnessed significant declines as tech stocks faced heavy selling pressure. Japan's Nikkei fell below the 50,000 mark while South Korea's Kospi tanked 6%, mirroring Wall Street's overnight sell-off amid rising bond yield concerns.
Learn how to decode Probability of Default metrics to assess bond credit risk effectively. Essential guide for Indian investors seeking safer fixed-income returns.