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Morgan Stanley Fixed-India Fixed Income Strategy Bond Flows Tracker-110429075

2024-09管理咨询12

September 22, 2024 10:00 PM GMT India Fixed Income Strategy | Asia Pacific Morgan Stanley India Company Private Limited+

报告摘要

September 22, 2024 10:00 PM GMT India Fixed Income Strategy | Asia Pacific Morgan Stanley India Company Private Limited+

报告信息

文件全名
Morgan Stanley Fixed-India Fixed Income Strategy Bond Flows Tracker-110429075.pdf
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战略规划行业研究员
核心数据
  1. had India exposure in their GBI-EM portfolios: 1.7% in bonds and 2.5% in
  2. FX. That positioning surged to 3.6% in bonds and 2.9% in FX as of endMay 2024, suggesting that investors had already begun adjusting their
  3. 67% of the FPI flows were concentrated in the highly liquid 3-,5-,10-,14year FAR G-Secs (2026/2028/2033/2037 bonds). Post inclusion, FAR
  4. inflows have crossed the US$6 billion mark, with almost 53% of flow
  5. started recording healthy flows, with almost 25% of the post-inclusion
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《Morgan Stanley Fixed-India Fixed Income Strategy Bond Flows Tracker-110429075》主要包含哪些内容?

September 22, 2024 10:00 PM GMT India Fixed Income Strategy | Asia Pacific Morgan Stanley India Company Private Limited+核心数据:had India exposure in their GBI-EM portfolios: 1.7% in bonds and 2.5% in;FX. That positioning surged to 3.6% in bonds and 2.9% in FX as of endMay 2024, suggesting that investors had already begun adjusting their;67% of the FPI flows were concentrated in the highly liquid 3-,5-,10-,14year FAR G-Secs (2026/2028/2033/2037 bonds). Post inclusion, FAR。

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覆盖 2024 年,全文约 12。

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