印度卢比:兑美元区间交易持续 – 法国兴业银行
法国兴业银行(Societe Generale)策略师指出,美元/印度卢比(USD/INR)在窄幅区间内波动,印度债券市场强劲的外资流入和支持性的国内因素抵消了美联储(Fed)的鹰派立场。

法国兴业银行策略师指出,美元/印度卢比(USD/INR)在窄幅区间内波动,印度债券的强劲外资组合流入和支持性的国内因素抵消了美联储(Fed)的鹰派立场。尽管印度债券的环境有所改善且有可能被纳入基准指数,但该货币对仍受限,表明印度卢比对美元的短期方向性偏好有限。

美联储压力下的窄幅区间

“此外,印度债券的反弹势头未见放缓,得益于印度储备银行(RBI)和财政部(MoF)的支持措施。”

“这些措施包括:(a)通过外币非居民存款(FCNR)吸引外资流入,以及为银行筹集3至5年期资金提供补贴的外汇对冲成本;(b)允许公共部门银行发行外币债券(ECB);(c)取消政府证券资本利得和利息收入的税收。”

“油价和金价的走软也支持了外资对印度债券的需求。此外,印度远期利率债券(FAR)有望在2026年中期的彭博全球综合指数审查中被纳入,此前因运营和基础设施问题在1月份被推迟,这预示着更为光明的前景。”

“与此同时,美元/印度卢比维持在94.15-94.95的窄幅区间,鹰派的美联储观点抵消了上述利好因素以及债券证券的强劲外资流入。”

“即使印度债券在该基准指数中占有1%的权重,也可能在未来12个月内带来250亿至300亿美元的外资流入。10年期印度政府债券收益率已降至6.75%,距离战争前水平仅9个基点,之前曾一度接近7.143%的高点。”

(本文由人工智能工具协助生成,编辑审核。)

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