Indian Corporate Debt Fund Shifts Focus Towards Riskier Bonds
11 hours ago
A prominent corporate debt fund in India is recalibrating its investment strategy, increasingly directed towards higher-risk bonds. This strategic pivot comes amid a broader landscape of changing market conditions and a surge in demand for credit. Experts suggest that the fund's inclination towards these riskier assets signifies a notable shift in investor sentiment, driven by the allure of potentially higher returns despite the accompanying risks.
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