India's Bond Market: Supply, Not Stress, Drives Yields
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.
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.
The Canadian dollar extended its weekly decline against a strong US dollar, pressured by an 11th month of manufacturing contraction. Get the latest on CAD, PMI data, and bond yields.
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.
US stock indexes closed lower amid a broad sell-off, while gold prices retreated from all-time highs. Treasury yields eased as markets adjust Fed rate cut expectations for the coming year.
As RBI rate cuts reshape India's investment landscape, bonds offer a rare opportunity for high returns with lower risk. Learn the strategies to capitalise in 2026.
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.
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.
India's revamped rural jobs scheme increases states' funding share, likely raising borrowings by ₹30,000-40,000 crore and pushing bond yields higher. Market experts warn of wider spreads and fiscal strain.
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.
Indian bonds surged as RBI announced ₹2 trillion bond purchases and a $10 billion forex swap to boost liquidity. Benchmark yield fell sharply. Read the full analysis.
The Reserve Bank of India announces a massive Rs 2.9 lakh crore liquidity infusion via bond purchases and a dollar-rupee swap to counter a recent cash squeeze and rising yields. Details inside.
US stock markets closed lower as robust Q4 GDP growth fueled a spike in Treasury yields, raising concerns over the Fed's rate path. Key details on market reaction and expert analysis inside.
Bond market braces for 2026 with focus on Fed chair nomination, inflation trends, and Treasury yields. Strategists predict range-bound movement barring major shocks. Key insights from Pimco, Morgan Stanley.
A look back at the five most consequential financial market shifts of 2025, including shaken faith in US assets, a reversal in stock leadership, and the surprising underperformance of Bitcoin. Discover the key trends that defined a turbulent year for glob
Iconic James Bond films like 'Skyfall' and 'No Time To Die' will stream on Netflix for three months starting January 15, 2026, as part of a landmark deal between Netflix and Amazon MGM Studios.
Global equities advanced led by Wall Street tech rally. Bank of Japan hikes interest rates to a three-decade high, yen weakens. Oil prices rise on Venezuela supply fears. Key market updates for Indian investors.
Canadian dollar stabilises against USD despite weak retail sales. Oil prices rebound, bond yields rise. Get the full analysis of BoC's next move and market impact.
India's retail real estate sector shines in 2025, delivering 12-15% yields and outperforming other assets. Discover the key drivers and future outlook for investors.
European shares traded flat on Friday, with tech and consumer stocks falling while banks gained. The STOXX 600 index dipped 0.1% but is set for a strong weekly finish. Read the full analysis.
India's bond market faces a prolonged bearish phase with 10-year yields projected at 6.55-6.70% through FY26. Key drivers include fiscal consolidation and global factors. Read the full analysis.
The US Federal Reserve faces a tough challenge: it can cut short-term rates, but long-term bond yields remain stubbornly high. Discover the factors driving this trend and the risks of intervention. Read more.
Axis Bank Research forecasts a supportive environment for Indian bonds, citing policy rates at a bottom, attractive yields, and strong capital inflows. Read 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.
US stock markets showed mixed movement as November jobs data signaled a softening labor market. Pfizer shares fell over 3% on a weak forecast. Get the latest updates on Wall Street trends.
US markets showed minimal movement as mixed jobs and retail data clouded the Fed's rate path. AI stocks had a split session, while investors await key inflation reports. Read the full analysis.
Japanese government bond yields remained stable as traders await crucial US employment figures and the Bank of Japan's rate decision. Key insights on fiscal concerns and market outlook inside.
Indian Railway Finance Corp, Power Finance Corp, and Sidbi withdraw bond issuances worth thousands of crores as yields remain high despite RBI's recent rate cut, signaling a disconnect between policy and markets.