India’s corporate bond market is experiencing unprecedented growth in 2025, nearing ₹10 trillion due to lower interest rates and increased capital expenditure. While institutional investors dominate, reforms are needed to enhance retail participation and secondary market liquidity. U.S. fiscal concerns influence global bond yields, impacting India despite domestic rate cuts.
Why FIIs are dumping bluechips to hunt small & midcaps
Foreign institutional investors are shifting their focus from India’s top blue-chip stocks to a wider array of mid- and small-cap companies. This strategic repositioning is