{"version":"1.0","type":"rich","provider_name":"Acast","provider_url":"https://acast.com","height":250,"width":700,"html":"<iframe src=\"https://embed.acast.com/$/6374bb5cfa2a6f0011243f0e/6a0d98ca7c1f617050836aee?\" frameBorder=\"0\" width=\"700\" height=\"250\"></iframe>","title":"Bonds, Barrels and Bulls","thumbnail_width":200,"thumbnail_height":200,"thumbnail_url":"https://open-images.acast.com/shows/6374bb5cfa2a6f0011243f0e/1779275762068-f35ac623-a469-49dc-8620-098a859359a3.jpeg?height=200","description":"<p>What happens when soaring US bond yields, rising oil prices and a weakening rupee collide? In this sharp analysis, Debashis Basu explains why global events—from the closure of the Hormuz Strait to rising US Treasury yields—could create serious economic pressure for India.</p><p><br></p><p>The audio breaks down how expensive crude oil, inflation, currency depreciation and rising bond yields are interconnected, why the rupee is nearing the ₹100 mark against the dollar, and what this means for Indian markets, investors and the broader economy.</p><p><br></p><p>From retail euphoria in microcaps to warning signals flashing across bond markets, this is a timely look at the risks building beneath the surface of India’s growth story.</p>","author_name":"Debashis Basu & Sucheta Dalal"}