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Sovereign and public funds managing $6.5 trillion are shifting their investment strategies towards long-term returns in India and sustainable assets as inflation concerns diminish. This move, highlighted by an OMFIF survey, shows a significant shift from fixed-income assets to public equities and private markets, driven by India's robust economic performance and technological advancements.
Sovereign and public funds managing $6.5 trillion are shifting their investment strategies towards long-term returns in India and sustainable assets as inflation concerns diminish. This move, highlighted by an OMFIF survey, shows a significant shift from fixed-income assets to public equities and private markets, driven by India's robust economic performance and technological advancements.