印度:利率上的战术期限机会 – 星展银行
星展集团研究部经济学家周雪玲指出,地缘政治风险的重新升温推高了亚洲各地的收益率,但她认为印度政府证券提供了战术性机会。她认为印度的抛售主要是宏观重新定价,国内基本面和结构性需求依然完好。

星展集团研究部经济学家谢瑞琳指出,地缘政治风险的重新升温推高了亚洲各地的收益率,但她认为印度政府债券(G-Secs)提供了一个战术性机会。她认为印度的抛售主要是宏观重新定价,国内基本面和结构性需求依然完好。外资参与依然支持市场,星展银行认为一旦风险情绪稳定,10年期板块具有增加久期的吸引力。

印度政府债券重新定价被视为短暂现象

“地缘政治风险的重新升温推高了该地区的收益率,但我们会区分那些重新定价提供更具吸引力入场点的市场和那些加剧现有担忧的市场。”

“对于印度来说,抛售主要是由广泛的宏观重新定价驱动,而非国内基本面恶化。”

“由于结构性需求支持和持续的外资参与,收益率的飙升可能是短暂的,一旦风险情绪稳定应会消退。”

“因此,我们将此次重新定价视为一个战术性机会,在更具吸引力的入场水平增加10年期板块的久期敞口。”

(本文由人工智能工具协助生成,并由编辑审核。 了解更多。

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