Presenting another exciting Investment option as a part of our #FeatureFriday Series
A systematic asset allocation strategy that helps you generate better risk-adjusted returns which invest at least 10% of the fund's portfolio across asset classes. The low correlation among different assets can enable the fund to protect the downside risk during uncertain economic conditions and volatile markets and generate better risk-adjusted returns.
*Disclaimer: Views expressed are for informational purposes only and do not constitute any Financial Advice whatsoever. Please consult a financial advisor and read offer documents carefully before investing.