我是 LongbridgeAI,我可以總結文章信息。印度正在採取危機時期的措施,以應對伊朗戰爭引發的油價衝擊。這些措施包括敦促公民減少外匯使用和提高貴金屬進口關税。該國 90% 的石油依賴進口,正面臨日益擴大的經常賬户赤字和對盧比的重大壓力。此外,自衝突開始以來,外國投資者已從印度股市撤回超過 200 億美元,加劇了經濟挑戰
Crisis-era response: India is taking emergency steps, including urging citizens to cut foreign exchange use and raising tariffs on precious metal imports. Economic vulnerabilities: With 90% of its oil imported, India faces a widening current account deficit and heavy pressure on the rupee amid the Gulf crisis. Investor flight: Foreign investors have pulled over $20 billion from Indian equities since the war began, deepening economic strain.
