• Clare Summerfield

A Focus on India

When considering some emerging market funds within a diversified portfolio, India is a strong contender. We look at some of the key economic indicators;

  • Strong economic growth; GDP up 7 - 8 % per annum

  • A high savings rate of 30%

  • India's 1% current account deficit is low compared to many developed markets

  • 80% of GDP is made up of consumer goods

  • A stable government implementing strong market and political reforms

  • 50% of the population is under 25 years

  • Currency is relatively strong compared to other emerging markets

  • Inflation forecast is in the 5 - 6% range

  • Although the service sector is the primary driver of economic growth, India has strong sectoral diversification that drives growth across industries. Data Source: Bloomberg

A well diversified portfolio is better prepared for market volatility! 


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