How Regulation Is Building India’s Next Big Investment Market

How Regulation Is Building India’s Next Big Investment Market

April 26, 2026 · 48 min · Season 1 · Episode 564

About this episode

This episode explores fixed income investing and the evolving bond market in India with insights from Nikhil Agarwal of Grip Invest.

This episode of Paisa Vaisa with Anupam Gupta dives deep into fixed income investing, bonds, and high yield opportunities in India. Nikhil Agarwal, Founder & CEO of Grip Invest, explains: Why most Indians are stuck between 6% FD returns and volatile equity markets How bonds offer 10–12% fixed income opportunities The real difference between fixed vs guaranteed returns Risks of defaults, frauds, and what investors MUST understand How SEBI regulations are changing the bond market Why bonds could become mainstream in the next 3–5 years If you’ve only invested in FDs, mutual funds, or stocks this episode will change how you think about asset allocation. 🎯 Topics covered: Fixed income investing, bonds in India, debt mutual funds vs bonds, high yield investments, portfolio diversification, bond risks, SEBI regulations, retail investing India TAKEAWAYS Missing Middle India’s biggest investment gap lies between low-return FDs and high-risk equities. Retail Access Bonds went from ₹10 lakh minimums to ₹10,000 opening the market to everyone. Risk Reality Fixed income means predictable returns, not guaranteed safety. Return Gap Slightly higher risk in bonds can…

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