Gold Aggressive
Two investment strategies combined in one portfolio, designed to deliver the strongest performance possible
Risk Level: High
Min Investment: ₹50000
30 Days:
-1.64%
90 Days:
-0.01%
365 Days:
-7.11%
Annualised:
19.40%
Strategy Specifications
| Strategy Inception Date | Jan. 1, 2016 |
| Min Investment | ₹50000 |
| Strategy Type | Diversified Portfolio |
| Asset Classes | Equity ETFs |
| Universes | Large Caps Money Market Multi Caps |
| Instruments | Equity Debt |
| Rebalancing Frequency | Monthly |
| Volatility | High |
Strategy Description
We select the two most effective strategies, based on their performance and balance, with the objective of targeting the highest possible returns. This approach is especially designed for an aggressive investor, one who has a high tolerance for volatility and is seeking a dynamic portfolio that can maximize their investment growth over the long term
Asset Allocation
Strategy Selection
| Category | Weight |
|---|---|
| Cruise Momentum | 40.00% |
| Debt Allocation | 20.00% |