Fixed Income Markets Explained | RBI Policy, Inflation & Bond Yields
Автор: Axis Mutual Fund
Загружено: 2026-04-17
Просмотров: 569
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What do RBI policy decisions, inflation and bond yields mean for your investments?
In this episode of Moneynomics by Axis Mutual Fund, our Head of Fixed Income, Devang Shah, shares his perspective on the recent Middle East geopolitical developments and their impact on fixed income markets, inflation, interest rates, and bond yields in India and globally.
The discussion covers how rising crude oil prices, current account pressures, and evolving global risks are influencing India’s macroeconomic environment and shaping the RBI’s monetary policy stance.
In this video, we discuss:
• Impact of Middle East tensions on global and Indian fixed income markets
• Outlook on India’s growth, inflation, and current account deficit
• RBI policy commentary and interest rate expectations
• Bond yield movements across government and corporate debt
• Portfolio positioning across money market, short duration and long duration funds
• Tactical versus core allocation strategies in fixed income
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Chapters:
00:00 - Highlights
00:28 - Introduction
00:50 - Middle East tension and it's impact on fixed income markets
01:50 - India’s growth, inflation and current account deficit
04:00 - Analysing the RBI policy
05:18 - Will RBI pause or hike rates?
06:49 - Government & corporate bond yield movements
08:25 - Way forward for investors
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