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.
The fund employs a 65% equity/35% fixed income allocation, using tactical overlays and diversified affiliated mutual funds for broad asset class exposure. Recent performance outpaced its custom ...
Quant Multi Asset Allocation Direct Plan has emerged as a top performer in its category. It ranks No.1 across 3, 5 and ...
There are plenty of choices in the Allocation Balanced category, but where should you start your research? Well, one fund that might be worth investigating is PIMCO All Asset A (PASAX). PASAX holds a ...
After a volatile 2025 marked by weak equity returns and sharp mid- and small-cap corrections, mutual fund investors are ...
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 ...
The article explains how fear-driven cash hoarding and overconfidence in equities can undermine long-term investment goals, ...
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 ...
Discover the Edelweiss Balanced Advantage Fund's unique pro-cyclical strategy for smarter investing and trend-based asset ...
Choosing to invest in mutual funds is often linked to long-term financial planning rather than short-term market movements ...
Reprinted from the Journal of Portfolio Management, Winter 1992, pp. 7-19. This copyrighted material has been reprinted with permission from The Journal of Portfolio Management. It is widely agreed ...
Discover the Hong Kong Monetary Authority Investment Portfolio’s role in managing assets for the region’s stability and ...