Objective
The scheme seeks stable and regular income through an actively managed portfolio of stocks, bonds and money market instruments. The asset allocation i dynamically planned to capture the best of the opportunity in equity and debt. Exposure in equity is a blend of large and mid cap stocks, skewed largely towards the well researched blue chips. In debt, the scheme invests mainly in state government debt papers besides PSUs and bank bonds. The highlight of the scheme is the extensive use of derivatives not only as a hedging tool but also in generating regular income, which in turn enhances the overall portfolios risk adjusted return.