1 Asset Allocation Blend Index consists of 60% MSCI All Country World Index and 40% Bloomberg U.S. Aggregate Bond Index. The MSCI All Country World Index is calculated net of foreign tax withholdings.
If equity, debt, and gold all underperform together during severe market stress, diversification benefits for multi -asset ...
With 2026 around, I am refining my inflation-focused asset allocation model that performed well in 2025. Check out the major ...
According to Niharika Tripathi of Wealthy.in, gold and silver emerged as key performance drivers this year. Silver posted near triple-digit gains in India, while gold delivered strong returns, ...
Markets saw huge volatility in 2025, with analysts predicting its continuation into 2026. Dynamic asset allocation funds, also known as balanced advantage funds, offer a potential solution by ...
Mutual funds saw significant growth in 2025 despite market volatility, with multi-asset funds and income-plus-arbitrage funds ...
The investment seeks total return greater than that of GMO Global Asset Allocation Index, an internally maintained index computed by GMO, consisting of 65% MSCI ACWI and 35% Bloomberg U.S. Aggregate ...
In a volatile 2025 marked by equity corrections and global uncertainty, multi-asset allocation funds quietly emerged as the top-performing mutual fund category. With around 15% YTD returns, strong ...
The investment seeks to maximize total return. The fund seeks to achieve its objective by investing in a broad range of both traditional asset classes (such as equity and fixed income investments) and ...
After a volatile 2025 marked by weak equity returns and sharp mid- and small-cap corrections, mutual fund investors are ...
The article explains how fear-driven cash hoarding and overconfidence in equities can undermine long-term investment goals, ...