Objective
The scheme invests in well researched blue chip stocks investments are also made in mid-cap companies with positive fundamentals and sound growth prospect. Additionally, derivatives are used to improve portfolio returns and reduce risk. To add to, the scheme strives to earn regular income in the fixed income market by managing interest rate movements and credit risks. The portfolio allocation is dynamically changed to provide better returns. Adequate care is taken to diversify the portfolio across stocks and to maintain the portfolio balance at all times.