Why did American investors start investing in emerging markets like India during the period of quantitative easing in the US? Option: "Attractive tax incentives offered by emerging markets", "Political instability in the US", "Lower interest rates in the US prompted investors to seek higher returns elsewhere", "Higher interest rates in emerging markets"

Why did American investors start investing in emerging markets like India during the period of quantitative easing in the US?

What is a key driver for FIIs to invest in emerging markets?

What is a significant factor that can lead to FIIs withdrawing funds from emerging markets?

What has been the recent trend of Foreign Portfolio Investment (FPI) in India?

What does a high-interest rate in a country generally lead to?

What is a key advantage of investing in Emerging Market Funds?