Diamond Moderate Aggressive

A diversified portfolio, drawing from our broadest range of strategies, incorporates a 60/40 allocation to deliver above-average returns, while maintaining a moderated level of volatility.
Risk Level: Moderately High
Min Investment: ₹50 Lakhs
30 Days
30 Days:

-1.49%

90 Days
90 Days:

-0.24%

365 Days
365 Days:

-0.35%

Annualised
Annualised:

16.83%

Strategy Specifications

Strategy Inception Date Jan. 1, 2016
Min Investment ₹50 Lakhs
Strategy Type Diversified Portfolio
Asset Classes Equity Bonds ETFs
Universes Large Caps Money Market Multi Caps Small Caps
Investment Styles Multi-Asset Multi-Strategy
Instruments ETFs Equity Bonds
Rebalancing Frequency Monthly
Volatility Moderately High

Strategy Description

This portfolio blends diverse strategies and asset classes to yield stable returns, with the goal of significantly outperforming the market. It utilizes both established and innovative strategies. Designed with a 60% equity and 40% debt allocation, the portfolio balances the pursuit of high returns with a moderated approach to volatility.

Asset Allocation

Strategy Selection

Category Weight
Debt Allocation 40.00%
Large Cap Momentum 12.00%
Multi Cap Momentum 12.00%
Cruise Momentum 12.00%
Financial Momentum 6.00%
Healthcare Momentum 6.00%