Source: Reuters (via feed)
India is maturing as a market where foreign investors who consider environmental, social, and governance (ESG) factors are confident in allocating more of their portfolios. Fund managers at the Indian Venture and Alternate Capital Association conclave in Mumbai highlighted the country’s economic scale, improving return outlook, and advancing ESG standards. These elements were noted as key differentiators for investment decisions.
The fund managers spoke about India’s growing position at the conclave. They emphasized factors that support their confidence in dedicating additional portfolio share to the Indian market.
BizTrendWire Insight:
Fund managers at the Mumbai conclave referenced India’s economic scale, return outlook, and ESG standards as factors in portfolio allocation decisions.
Fund managers at the Mumbai conclave referenced India’s economic scale, return outlook, and ESG standards as factors in portfolio allocation decisions.
