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Total assets under management, month by month — the sum across this house's strategies.
| Strategy | Category | AUM (₹ Cr) | 12M | 36M | vs BM | |
|---|---|---|---|---|---|---|
| Asset Allocation with Dynamic Rebalancing Asset allocation is the key to long term returns. We create a portfolio of low corelation asset classes and dynamically rebalace it to ensure good return at low risk. | Multi Asset | 206 | +8.8 | +16.0 | +2.0 | View details → |
| Dynamic Rebalancing Asset allocation is the key to long term returns. We create a portfolio of low corelation asset classes and dynamically rebalace it to ensure good return at low risk. | Multi Asset | 3 | +49.4 | +36.1 | +42.6 | View details → |