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Reading: What US Federal Reserve’s newest assembly minutes might imply for D-Avenue?
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StockWaves > Business > What US Federal Reserve’s newest assembly minutes might imply for D-Avenue?
Business

What US Federal Reserve’s newest assembly minutes might imply for D-Avenue?

StockWaves By StockWaves Last updated: February 20, 2025 9 Min Read
What US Federal Reserve’s newest assembly minutes might imply for D-Avenue?
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The US Federal Reserve in its FOMC assembly minutes launched on Wednesday whereas signaling a cautious stance instructed that the halt on rate of interest minimize is more likely to be an extended one. That is because the Fed desires to see “additional progress on inflation” earlier than deciding on slashing rates of interest once more, in response to the minutes from a two-day assembly of its rate-setting committee that ended on January 29, 2025.

Moreover, along with the gradual progress in curbing inflation, heightened uncertainty about how Trump’s financial agenda will seemingly play out, has fortified the Fed’s stance that for now, the very best resort can be to face pat till there’s extra readability on the financial outlook.

However, the policymakers haven’t dominated out fee cuts utterly, they usually nonetheless count on to chop borrowing prices over time.

Specialists view on Fed’s minutes and their seemingly influence on D-Avenue

Pawan Parakh, Fund Supervisor, Geojit Monetary Providers mentioned, “Donald Trump’s international coverage has been a little bit unpredictable not just for geopolitical analysts but in addition the US Fed. If his tariff-dominating insurance policies have been to proceed it ought to actually make merchandise costly within the US. Manufacturing shift to the US isn’t virtually potential for a number of industries and if it have been to occur, it would not occur shortly. This means that inflationary pressures, if any, can persist over the medium time period as properly. On this backdrop, it’s unlikely to count on any fee cuts within the US for the subsequent 3-6 months.”

So far as India is anxious, the current correction already elements within the potential tariff influence. In case, India is ready to sew a bilateral commerce pact, it could be taken extraordinarily constructive by the markets, added Pawan.

Moreover, Pawan does not see this higher-for-longer rate of interest regime to be unfavorable for Indian equities as he’s of the assumption that after the current correction, the Indian market elements in all these negatives.

In the meantime, Atul Parakh, CEO of Bigul on the Fed assembly minutes seemingly influence on D-Avenue mentioned, “The January 28-29 FOMC assembly minutes reveal crucial implications for Indian fairness markets amid shifting world financial situations. With charges maintained at 4.25-4.5 per cent and Fed Chair Powell’s hawkish congressional testimony, market expectations for 2025 fee cuts have considerably diminished. The upper-than-expected January US CPI information suggests potential for just one fee minimize in 2025, if any.”

This prolonged higher-rate setting poses challenges for Indian equities via lowered international portfolio flows, famous Parakh.

Moreover Atul famous that the elevated US 10-year Treasury yields at 4.511 per cent improve the danger of capital outflows from rising markets, together with India. As markets await the March 18-19 FOMC assembly and up to date financial projections, Indian equities face potential volatility resulting from world buyers’ reassessment of rising market publicity in response to the Fed’s persistent hawkish stance

 



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