iShares MSCI India ETFINDA
INDA
0
Funds holding %
of 7,323 funds
–
Analysts bullish %
Fund manager confidence
Based on 2025 Q1 regulatory disclosures by fund managers ($100M+ AUM)
352% more call options, than puts
Call options by funds: $485M | Put options by funds: $107M
3.27% more ownership
Funds ownership: 88.71% [Q4 2024] → 91.99% (+3.27%) [Q1 2025]
6% less funds holding
Funds holding: 607 [Q4 2024] → 570 (-37) [Q1 2025]
8% less capital invested
Capital invested by funds: $9.04B [Q4 2024] → $8.36B (-$686M) [Q1 2025]
18% less funds holding in top 10
Funds holding in top 10: 22 [Q4 2024] → 18 (-4) [Q1 2025]
24% less first-time investments, than exits
New positions opened: 71 | Existing positions closed: 94
29% less repeat investments, than reductions
Existing positions increased: 156 | Existing positions reduced: 220
Research analyst outlook
We haven’t received any recent analyst ratings for INDA.
Financial journalist opinion
Based on 13 articles about INDA published over the past 30 days
Negative
Barrons
3 hours ago
Trump's 25% Tariffs on Indian Exports, Penalty For Russian Oil Raises Concerns For Others
The tariff on India can be seen as a cautionary note to U.S. trading partners that they will be severely penalized if they don't bend to Trump's will.

Negative
Market Watch
3 hours ago
Trump to penalize India for buying Russian oil. Here's how much it purchases.
U.S. President Donald Trump's latest salvo in his trade battles has targeted India, including that country's reliance on Russian crude oil. So what's the actual extent of India's reliance on Russian fossil fuels?

Negative
The Guardian
7 hours ago
Trump imposes 25% tariff on India plus ‘penalty' over ties to Russia
US president calls Delhi a friend but criticises policies such as buying arms and energy from Russia amid Ukraine war

Neutral
CNBC International TV
18 hours ago
India's growth story is 'very mixed' right now; a rate cut in August is unlikely: Economist
Sakshi Gupta, Principal Economist at HDFC Bank, says that while government spending and support for infrastructure and capital goods remain strong, consumption growth in India is lagging, evident in high-frequency indicators like passenger vehicle sales, which have been weak. On employment, she adds that a meaningful pickup is still awaited.

Neutral
Seeking Alpha
1 day ago
APAC Equities: The Sensitivity To Oil Prices
Among APAC equity markets, Australia has a higher beta to oil prices while India, Indonesia and Thailand have lower betas. Domestic political uncertainties have been one main reason for the decoupling trend seen in Indonesia and Thailand.

Neutral
ETF Trends
2 days ago
World Markets Watchlist: July 28, 2025
Our global markets watchlist tracks nine prominent indexes from economies around the world.

Positive
Seeking Alpha
1 week ago
INDA: A Comprehensive Coverage Of The Most Important Indian ETF
The iShares MSCI India ETF, which tracks the MSCI India Index and has accumulated over $10B in AUM, is arguably the most important Indian ETF around. INDA offers concentrated exposure to large-cap Indian equities with strong growth prospects, but comes at high valuations and a relatively steep expense ratio. The ETF is suitable for both long-term investors seeking India's growth story and short-term traders, thanks to its liquidity and tight bid-ask spreads.

Neutral
ETF Trends
1 week ago
World Markets Watchlist: July 21, 2025
Our global markets watchlist tracks nine prominent indexes from economies around the world.

Positive
CNBC Television
1 week ago
Tim Seymour: Early in a international market bull cycle underpinned by fundamentals
Tim Seymour, Seymour Asset Management CIO, joins 'Power Lunch' to discuss the world's equity performance, if it's a one-year phenomenon and much more.

Negative
Barrons
1 week ago
India Stocks Have Fallen, but They Aren't Bargains Yet
The government is retrenching on infrastructure spending and corporate earnings expectations are down. But a retail frenzy has kept valuations rich.

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