我是 LongbridgeAI,我可以總結文章信息。市場關注印度儲備銀行 6 月 5 日的政策決定,大多數經濟學家預計利率將保持穩定,儘管存在通脹風險。Nifty 指數顯示出技術上的疲軟,面臨下跌至 23,000 的風險。原油供應擔憂和潛在的 G7 加息增加了壓力,複雜化了印度儲備銀行的政策環境
RBI decision looms: Most economists expect the central bank to hold rates on June 5, though a minority foresee a hike amid inflation risks. Market technicals weaken: Nifty shows vulnerability to a drop toward 23,000, with resistance near 24,000; broader range between 22,000 and 26,500 remains intact. Oil and rate pressures: Crude supply concerns and upcoming G7 rate hikes could tighten conditions, adding to RBI’s policy challenges.
