14 datasets found
  1. T

    India 10-Year Government Bond Yield Data

    • tradingeconomics.com
    • de.tradingeconomics.com
    • +13more
    csv, excel, json, xml
    Updated Nov 17, 2025
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    TRADING ECONOMICS (2025). India 10-Year Government Bond Yield Data [Dataset]. https://tradingeconomics.com/india/government-bond-yield
    Explore at:
    json, xml, excel, csvAvailable download formats
    Dataset updated
    Nov 17, 2025
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Apr 28, 1994 - Dec 2, 2025
    Area covered
    India
    Description

    The yield on India 10Y Bond Yield eased to 6.52% on December 2, 2025, marking a 0.06 percentage points decrease from the previous session. Over the past month, the yield has fallen by 0.03 points and is 0.24 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. India 10-Year Government Bond Yield - values, historical data, forecasts and news - updated on December of 2025.

  2. F

    Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including...

    • fred.stlouisfed.org
    json
    Updated Oct 15, 2025
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    (2025). Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for India [Dataset]. https://fred.stlouisfed.org/series/INDIRLTLT01STQ
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Oct 15, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-citation-requiredhttps://fred.stlouisfed.org/legal/#copyright-citation-required

    Area covered
    India
    Description

    Graph and download economic data for Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for India (INDIRLTLT01STQ) from Q1 2012 to Q3 2025 about long-term, India, 10-year, bonds, yield, interest rate, interest, and rate.

  3. I

    India Short Term Government Bond Yield

    • ceicdata.com
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    CEICdata.com, India Short Term Government Bond Yield [Dataset]. https://www.ceicdata.com/en/indicator/india/short-term-government-bond-yield
    Explore at:
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Nov 1, 2024 - Oct 1, 2025
    Area covered
    India
    Description

    Key information about India Short Term Government Bond Yield

    • India Short Term Government Bond Yield: Month End: India: 1 Year was reported at 5.65 % pa in Oct 2025, compared with 5.63 % pa in the previous month.
    • India Short Term Government Bond Yield data is updated monthly, available from May 1996 to Oct 2025.
    • The data reached an all-time high of 13.01 % pa in Jan 1998 and a record low of 3.46 % pa in Nov 2020.
    • Short Term Government Bond Yield is reported by CEIC Data.

    The Reserve Bank of India provides monthly weighted average Short Term Government Bond Yield.

  4. Worldwide 10-year government bond yield by country 2025

    • statista.com
    Updated Nov 29, 2025
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    Statista (2025). Worldwide 10-year government bond yield by country 2025 [Dataset]. https://www.statista.com/statistics/1211855/ten-year-government-bond-yield-country/
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    Dataset updated
    Nov 29, 2025
    Dataset authored and provided by
    Statistahttp://statista.com/
    Time period covered
    Jul 18, 2025
    Area covered
    Worldwide
    Description

    As of July 18, 2025, the major economy with the highest yield on 10-year government bonds was Turkey, with a yield of ** percent. This is due to the risks investors take when investing in Turkey, notably due to high inflation rates potentially eradicating any profits made when using a foreign currency to investing in securities denominated in Turkish lira. Of the major developed economies, United Kingdom had one the highest yield on 10-year government bonds at this time with **** percent, while Switzerland had the lowest at **** percent. How does inflation influence the yields of government bonds? Inflation reduces purchasing power over time. Due to this, investors seek higher returns to offset the anticipated decrease in purchasing power resulting from rapid price rises. In countries with high inflation, government bond yields often incorporate investor expectations and risk premiums, resulting in comparatively higher rates offered by these bonds. Why are government bond rates significant? Government bond rates are an important indicator of financial markets, serving as a benchmark for borrowing costs, interest rates, and investor sentiment. They affect the cost of government borrowing, influence the price of various financial instruments, and serve as a reflection of expectations regarding inflation and economic growth. For instance, in financial analysis and investing, people often use the 10-year U.S. government bond rates as a proxy for the longer-term risk-free rate.

  5. T

    India 5 Year Note Yield Data

    • tradingeconomics.com
    • de.tradingeconomics.com
    • +6more
    csv, excel, json, xml
    Updated Aug 30, 2021
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    TRADING ECONOMICS (2021). India 5 Year Note Yield Data [Dataset]. https://tradingeconomics.com/india/5-year-note-yield
    Explore at:
    csv, excel, json, xmlAvailable download formats
    Dataset updated
    Aug 30, 2021
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Feb 2, 1998 - Dec 2, 2025
    Area covered
    India
    Description

    The yield on India 5 Year Bond Yield eased to 6.25% on December 2, 2025, marking a 0.01 percentage points decrease from the previous session. Over the past month, the yield has edged up by 0.06 points, though it remains 0.38 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. This dataset includes a chart with historical data for India 5Y.

  6. T

    India 3 Year Note Yield Data

    • tradingeconomics.com
    • fr.tradingeconomics.com
    • +3more
    csv, excel, json, xml
    Updated Aug 27, 2021
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    TRADING ECONOMICS (2021). India 3 Year Note Yield Data [Dataset]. https://tradingeconomics.com/india/3-year-note-yield
    Explore at:
    csv, xml, excel, jsonAvailable download formats
    Dataset updated
    Aug 27, 2021
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Sep 1, 1998 - Dec 2, 2025
    Area covered
    India
    Description

    The yield on India 3 Year Bond Yield eased to 5.84% on December 2, 2025, marking a 0.01 percentage points decrease from the previous session. Over the past month, the yield has fallen by 0.07 points and is 0.78 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. This dataset includes a chart with historical data for India 3Y.

  7. F

    Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including...

    • fred.stlouisfed.org
    json
    Updated Oct 15, 2025
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    (2025). Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for India [Dataset]. https://fred.stlouisfed.org/series/INDIRLTLT01STM
    Explore at:
    jsonAvailable download formats
    Dataset updated
    Oct 15, 2025
    License

    https://fred.stlouisfed.org/legal/#copyright-citation-requiredhttps://fred.stlouisfed.org/legal/#copyright-citation-required

    Area covered
    India
    Description

    Graph and download economic data for Interest Rates: Long-Term Government Bond Yields: 10-Year: Main (Including Benchmark) for India (INDIRLTLT01STM) from Dec 2011 to Sep 2025 about long-term, India, 10-year, bonds, yield, interest rate, interest, and rate.

  8. T

    India 5Y - Bond Yield | Quote | Chart | Historical | Data

    • tradingeconomics.com
    csv, excel, json, xml
    Updated May 29, 2017
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    TRADING ECONOMICS (2017). India 5Y - Bond Yield | Quote | Chart | Historical | Data [Dataset]. https://tradingeconomics.com/gind5y:ind
    Explore at:
    xml, excel, json, csvAvailable download formats
    Dataset updated
    May 29, 2017
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Jan 1, 2000 - Dec 2, 2025
    Area covered
    India
    Description

    Prices for India 5Y including live quotes, historical charts and news. India 5Y was last updated by Trading Economics this December 2 of 2025.

  9. y

    3 Month Treasury Bill Rate

    • ycharts.com
    html
    Updated Nov 7, 2025
    + more versions
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    Federal Reserve (2025). 3 Month Treasury Bill Rate [Dataset]. https://ycharts.com/indicators/3_month_t_bill
    Explore at:
    htmlAvailable download formats
    Dataset updated
    Nov 7, 2025
    Dataset provided by
    YCharts
    Authors
    Federal Reserve
    License

    https://www.ycharts.com/termshttps://www.ycharts.com/terms

    Time period covered
    Jan 4, 1954 - Nov 6, 2025
    Area covered
    United States
    Variables measured
    3 Month Treasury Bill Rate
    Description

    View market daily updates and historical trends for 3 Month Treasury Bill Rate. from United States. Source: Federal Reserve. Track economic data with YCha…

  10. I

    India Treasury Bills: Yield: 182 Days

    • ceicdata.com
    Updated Dec 15, 2020
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    CEICdata.com (2020). India Treasury Bills: Yield: 182 Days [Dataset]. https://www.ceicdata.com/en/india/treasury-bills-yield/treasury-bills-yield-182-days
    Explore at:
    Dataset updated
    Dec 15, 2020
    Dataset provided by
    CEICdata.com
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Mar 1, 2024 - Feb 1, 2025
    Area covered
    India
    Variables measured
    Securities Yield
    Description

    India Treasury Bills: Yield: 182 Days data was reported at 5.926 % pa in Apr 2025. This records a decrease from the previous number of 6.518 % pa for Mar 2025. India Treasury Bills: Yield: 182 Days data is updated monthly, averaging 6.788 % pa from Apr 2005 (Median) to Apr 2025, with 241 observations. The data reached an all-time high of 12.010 % pa in Aug 2013 and a record low of 3.260 % pa in Nov 2020. India Treasury Bills: Yield: 182 Days data remains active status in CEIC and is reported by Reserve Bank of India. The data is categorized under Global Database’s India – Table IN.MD001: Treasury Bills Yield.

  11. Mutual Fund Historic NAV Data

    • kaggle.com
    zip
    Updated Nov 23, 2025
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    Tharun (2025). Mutual Fund Historic NAV Data [Dataset]. https://www.kaggle.com/datasets/tharunreddy2911/mutual-fund-historic-nav-data/data
    Explore at:
    zip(122354054 bytes)Available download formats
    Dataset updated
    Nov 23, 2025
    Authors
    Tharun
    License

    Attribution-ShareAlike 4.0 (CC BY-SA 4.0)https://creativecommons.org/licenses/by-sa/4.0/
    License information was derived automatically

    Description

    Mutual Fund Historic NAV Data ✨

    This dataset boasts 20M+ Historical Net Asset Value (NAV) records. Perfect for analysts, investors & data scientists to spot trends, test strategies & grasp market dynamics.

    6,000+ New NAV Records Added Daily for 6,000+ unique funds means you get fresh, comprehensive data!

    ✴️ Mutual Fund Scheme Data

    📊 Core Data Inside

    • Scheme_Code: 🔑 Unique fund ID.
    • Date: 📅 NAV reporting date (YYYY-MM-DD).
    • NAV: 💰 Net Asset Value per unit on that Date.

    📈 What You Can Calculate & Analyze

    • Performance & Returns 🚀:
      • Absolute & Annualized (CAGR) Returns
      • Rolling & Point-to-Point Returns
      • Daily/Log Returns
    • Risk & Volatility 📉:
      • Standard Deviation
      • Sharpe & Sortino Ratios (needs risk-free rate)
      • Max Drawdown
      • Beta & Alpha (needs benchmark data)
    • Trends & Momentum 📊:
      • Moving Averages (SMA, EMA)
      • Rate of Change (ROC)
    • Comparisons & Market View 🧐:
      • Fund Performance Rankings
      • Correlations Between Funds
    • Basic Stats 🔢:
      • Highest/Lowest NAV
      • Average/Median NAV

    ⏱️ Freshness & Updates

    Massive History of 20 Million+ NAV Records! with 6,000+ New NAVs Added Daily(previous trading day's values). Updates run via a scheduled Kaggle Notebook and New Indian funds added as they launch!

    💡 Top Uses

    • ✅ Develop & Backtest Investment Strategies
    • ✅ Build Financial Dashboards & Visualizations
    • ✅ Quantitative Financial Modeling
    • ✅ Academic & Market Research
    • ✅ Personal Portfolio Tracking
    • ✅ Compare Funds & Categories
    • ✅ Spot Market Anomalies & Opportunities
  12. Fixed Income Assets Management Market Analysis North America, Europe, APAC,...

    • technavio.com
    pdf
    Updated Mar 1, 2025
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    Technavio (2025). Fixed Income Assets Management Market Analysis North America, Europe, APAC, South America, Middle East and Africa - US, Canada, China, UK, Germany, Japan, India, France, Italy, South Korea - Size and Forecast 2025-2029 [Dataset]. https://www.technavio.com/report/fixed-income-assets-management-market-analysis
    Explore at:
    pdfAvailable download formats
    Dataset updated
    Mar 1, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    License

    https://www.technavio.com/content/privacy-noticehttps://www.technavio.com/content/privacy-notice

    Time period covered
    2025 - 2029
    Area covered
    United States, Canada
    Description

    Snapshot img

    Fixed Income Assets Management Market Size 2025-2029

    The fixed income assets management market size is valued to increase USD 9.16 tr, at a CAGR of 6.3% from 2024 to 2029. Increasing investment in fixed income assets will drive the fixed income assets management market.

    Major Market Trends & Insights

    North America dominated the market and accounted for a 35% growth during the forecast period.
    By Type - Core segment was valued at USD 13.18 tr in 2023
    By End-user - Enterprises segment accounted for the largest market revenue share in 2023
    

    Market Size & Forecast

    Market Opportunities: USD 55.33 tr
    Market Future Opportunities: USD 9156.40 tr
    CAGR : 6.3%
    North America: Largest market in 2023
    

    Market Summary

    The market encompasses the management and investment in various types of debt securities, including bonds and treasuries. Core technologies and applications, such as portfolio optimization algorithms and risk management tools, play a crucial role in this market's continuous evolution. One significant trend is the increasing adoption of bond exchange-traded funds (ETFs), which accounted for over 20% of global fixed income assets under management in 2021.
    However, the market faces challenges, including transaction risks and regulatory changes. For instance, the European Securities and Markets Authority's (ESMA) updated guidelines on MiFID II reporting requirements have impacted market participants. Despite these challenges, opportunities persist, including the growing demand for active management strategies and the increasing popularity of alternative investment-grade bonds.
    

    What will be the Size of the Fixed Income Assets Management Market during the forecast period?

    Get Key Insights on Market Forecast (PDF) Request Free Sample

    How is the Fixed Income Assets Management Market Segmented and what are the key trends of market segmentation?

    The fixed income assets management industry research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD tr' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments.

    Type
    
      Core
      Alternative
    
    
    End-user
    
      Enterprises
      Individuals
    
    
    Geography
    
      North America
    
        US
        Canada
    
    
      Europe
    
        France
        Germany
        Italy
        UK
    
    
      APAC
    
        China
        India
        Japan
        South Korea
    
    
      Rest of World (ROW)
    

    By Type Insights

    The core segment is estimated to witness significant growth during the forecast period.

    Fixed Income Asset Management (FIAM) is a strategic investment approach that focuses on managing a diversified mix of US dollar-denominated fixed-income securities. This strategy encompasses various types of securities, including investment-grade bonds, commercial mortgage-backed securities (CMBS), residential mortgage-backed securities (RMBS), asset-backed securities (ABS), US government bonds, corporate debt, and other securitized assets. FIAM strategies employ rigorous research and risk management techniques to deliver consistent, solid returns, balancing both capital growth and income objectives. Portfolio managers meticulously blend securities across issuers, maturities, and jurisdictions to cater to the varying requirements of investors. Quantitative bond strategies, such as yield curve modeling and duration and convexity analysis, play a crucial role in FIAM.

    These strategies help in assessing the risk-reward trade-off and optimizing the portfolio's sensitivity to interest rate changes. Interest rate swaps and other interest rate derivatives are essential tools in managing FIAM. They enable portfolio managers to hedge against interest rate risk and adjust the portfolio's duration to maintain an optimal risk profile. Performance attribution models and option-adjusted spread analysis are essential for evaluating the effectiveness of FIAM strategies. These models help in understanding the contribution of various factors to the portfolio's overall performance. Liquidity risk management is another critical aspect of FIAM. Portfolio managers employ various techniques, such as securitization and debt portfolio optimization, to manage liquidity risk and ensure that the portfolio remains accessible to investors.

    Global macroeconomic factors, such as inflation, economic growth, and interest rates, significantly impact the FIAM market. Inflation-linked securities and credit default swaps are popular instruments used to hedge against inflation risk and credit risk, respectively. The FIAM market is experiencing steady growth, with an increasing number of investors recognizing the benefits of this investment strategy. According to recent studies, the market is projected to expand by approximately 12% in the coming year. Additionally, there has been a significant increase in the adoption of quantitative bond strategies, with over 40% of portfolio managers re

  13. T

    India 3-Month MIBOR

    • tradingeconomics.com
    • jp.tradingeconomics.com
    • +13more
    csv, excel, json, xml
    Updated Mar 1, 2022
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    TRADING ECONOMICS (2022). India 3-Month MIBOR [Dataset]. https://tradingeconomics.com/india/interbank-rate
    Explore at:
    json, xml, csv, excelAvailable download formats
    Dataset updated
    Mar 1, 2022
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Dec 1, 1998 - Nov 24, 2025
    Area covered
    India
    Description

    Interbank Rate in India remained unchanged at 6.10 percent on Monday November 24. This dataset provides - India Treasury Bill Yield - actual values, historical data, forecast, chart, statistics, economic calendar and news.

  14. Mutual Funds Market Analysis, Size, and Forecast 2025-2029: North America...

    • technavio.com
    pdf
    Updated Jan 28, 2025
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    Technavio (2025). Mutual Funds Market Analysis, Size, and Forecast 2025-2029: North America (US and Canada), Europe (France, Germany, Italy, Spain, and UK), APAC (Australia, China, and India), and Rest of World (ROW) [Dataset]. https://www.technavio.com/report/mutual-funds-market-analysis
    Explore at:
    pdfAvailable download formats
    Dataset updated
    Jan 28, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    License

    https://www.technavio.com/content/privacy-noticehttps://www.technavio.com/content/privacy-notice

    Time period covered
    2025 - 2029
    Area covered
    United States, Canada
    Description

    Snapshot img

    Mutual Funds Market Size 2025-2029

    The mutual funds market size is valued to increase USD 85.5 trillion, at a CAGR of 9.9% from 2024 to 2029. Market liquidity will drive the mutual funds market.

    Major Market Trends & Insights

    North America dominated the market and accounted for a 52% growth during the forecast period.
    By Type - Stock funds segment was valued at USD 50.80 trillion in 2023
    By Distribution Channel - Advice channel segment accounted for the largest market revenue share in 2023
    

    Market Size & Forecast

    Market Opportunities: USD 151.38 trillion
    Market Future Opportunities: USD 85.50 trillion
    CAGR : 9.9%
    North America: Largest market in 2023
    

    Market Summary

    The market represents a dynamic and ever-evolving financial landscape, characterized by continuous growth and innovation. With core technologies such as artificial intelligence and machine learning increasingly shaping investment strategies, mutual funds have become a preferred choice for individual and institutional investors alike. According to recent reports, mutual fund assets under management globally reached an impressive 61.8 trillion USD as of 2021, underscoring the market's substantial size and influence. However, the market is not without challenges. Transaction risks, regulatory compliance, and competition from alternative investment vehicles remain significant hurdles.
    Despite these challenges, opportunities abound, particularly in developing nations where mutual fund adoption rates have been on the rise. For instance, mutual fund assets in Asia Pacific grew by 15.3% in 2020, outpacing the global average. As market liquidity continues to improve and regulatory frameworks evolve, the market is poised for further expansion and transformation.
    

    What will be the Size of the Mutual Funds Market during the forecast period?

    Get Key Insights on Market Forecast (PDF) Request Free Sample

    How is the Mutual Funds Market Segmented and what are the key trends of market segmentation?

    The mutual funds industry research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD trillion' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments.

    Type
    
      Stock funds
      Bond funds
      Money market funds
      Hybrid funds
    
    
    Distribution Channel
    
      Advice channel
      Retirement plan channel
      Institutional channel
      Direct channel
      Supermarket channel
    
    
    Geography
    
      North America
    
        US
        Canada
    
    
      Europe
    
        France
        Germany
        Italy
        Spain
        UK
    
    
      APAC
    
        Australia
        China
        India
    
    
      Rest of World (ROW)
    

    By Type Insights

    The stock funds segment is estimated to witness significant growth during the forecast period.

    Mutual funds, specifically those investing in stocks, constitute a significant segment of the financial market. These funds exhibit diverse characteristics, catering to various investor preferences. For instance, growth funds prioritize stocks with high growth potential, while income funds focus on securities yielding regular dividends. Index funds mirror a specific market index, such as the S&P 500, and sector funds zero in on a particular industry sector. Share classes within mutual funds differ based on the share of investment. For example, large-cap funds allocate a minimum of 80% of their assets to large-cap companies, which represent the top 100 firms in terms of market capitalization.

    Investors can opt for dividend reinvestment plans, enabling them to reinvest their dividends to maximize returns. Tax-efficient investing strategies, such as tax-loss harvesting, help minimize tax liabilities. Bond fund yields and currency exchange risk are essential considerations for investors in bond funds. Risk management strategies, including diversification and asset allocation models, play a crucial role in mitigating potential losses. Fund manager expertise and regulatory compliance frameworks are essential factors for investors. Hedge fund strategies, financial statement audits, actively managed funds, and passive investment strategies all contribute to the evolving mutual fund landscape. Expense ratios, asset allocation models, capital gains distributions, and portfolio rebalancing techniques are essential metrics for evaluating mutual fund performance.

    Inflation-adjusted returns and equity fund volatility are crucial for long-term investment planning. Alternative investment funds and exchange-traded funds (ETFs) offer additional investment opportunities, with global diversification benefits and passive investment strategies gaining popularity. Nav calculation methods and passive investment strategies further broaden the scope of mutual fund investments. According to recent studies, stock mutual fund adoption stands at 35%, with expectations of a 21% increase in industry participation over the next five years. Meanwhil

  15. Not seeing a result you expected?
    Learn how you can add new datasets to our index.

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TRADING ECONOMICS (2025). India 10-Year Government Bond Yield Data [Dataset]. https://tradingeconomics.com/india/government-bond-yield

India 10-Year Government Bond Yield Data

India 10-Year Government Bond Yield - Historical Dataset (1994-04-28/2025-12-02)

Explore at:
4 scholarly articles cite this dataset (View in Google Scholar)
json, xml, excel, csvAvailable download formats
Dataset updated
Nov 17, 2025
Dataset authored and provided by
TRADING ECONOMICS
License

Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
License information was derived automatically

Time period covered
Apr 28, 1994 - Dec 2, 2025
Area covered
India
Description

The yield on India 10Y Bond Yield eased to 6.52% on December 2, 2025, marking a 0.06 percentage points decrease from the previous session. Over the past month, the yield has fallen by 0.03 points and is 0.24 points lower than a year ago, according to over-the-counter interbank yield quotes for this government bond maturity. India 10-Year Government Bond Yield - values, historical data, forecasts and news - updated on December of 2025.

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