Preferred Partner:

BAF

Keeps adapting as per the situation...

Dear Investor,

Equity market is volatile by nature. Our dynamic asset allocation model aims to optimise your equity investments as per the prevailing market situation regularly.

So that you can aspire for better risk-adjusted returns!

Unbiased model based equity allocation

Actively managed stock portfolio

Attempts to generate better risk-adjusted returns

Equity Taxation

Current investment strategy is based on the prevailing market conditions and is subject to changes depending on the fund manager’s view of the equity markets.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.