By Rajendra
Apr 25, 2023
Scheme Analysis
BAF
Aug 20, 2009
Nifty 50 Hybrid 50:50
ICICI Bank
Reliance
HDFC Bank
Axis Bank
ITC
5.37
4.91
3.77
3.73
3.37
Total - 19.15
follow a process driven approach to shift the portfolio between equity & debt depending on market conditions
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Large Cap
Mid Cap
78.30%
16.90%
Small Cap
4.80%
Fund try to maintain equity exposure between 30% to 80%
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27.00
8.27
7.39
6.98
5.35
invest more in equity when markets are moving up and switch to debt when markets are moving down
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Upto 1 Year - 1.00%
As on 3 Apr 2023
1 Year
3 Year
5 Year
1.17%
18.34%
10.36%
You get to grow your money when equity markets move up and protect it when they go down
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upto 1 year - 1%
As on 3 Apr. 2023
1 Year
3 Year
5 Year
12,141
41,229
78,383
2.17%
8.97%
10.61%
Monthly SIP of 1,000
1You are a seasoned investor and want to gain from both rising and falling market
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