我是 LongbridgeAI,我可以總結文章信息。印度 10 年期國債收益率達到 7.13%,為 2024 年 5 月以來的最高水平,而 5 年期收益率則達到 6.934%,顯示出借貸成本上升。印度盧比兑美元跌至 96.35 的歷史最低點,成為全球表現最差的貨幣之一。導致這一情況的因素包括高油價、美國國債收益率上升以及中東地區的緊張局勢,這些都增加了通脹風險並加大了印度財政前景的壓力
Record yield levels: India’s 10-year bond yield rose to 7.13%, the highest since May 2024, while the 5-year yield hit 6.934%, reflecting rising borrowing costs. Rupee at all-time low: The rupee slid to 96.35 per U.S. dollar, making it one of the worst-performing currencies globally and deterring foreign investment. Global pressures mount: High oil prices, elevated U.S. Treasury yields, and Middle East tensions are fueling inflation risks and straining India’s fiscal outlook.
