Platinum Moderate Aggressive

A classic 60/40 portfolio, with the equity portion consisting of our top-performing strategies to aim for high returns with moderated volatility
Risk Level: Moderately High
Min Investment: ₹25 Lakhs
30 Days
30 Days:

-1.48%

90 Days
90 Days:

-0.45%

365 Days
365 Days:

-0.54%

Annualised
Annualised:

16.12%

Strategy Specifications

Strategy Inception Date Jan. 1, 2016
Min Investment ₹25 Lakhs
Strategy Type Diversified Portfolio
Asset Classes Equity ETFs
Universes Large Caps Money Market Multi Caps Small Caps Sovereign debt
Investment Styles Multi-Asset Multi-Strategy
Instruments Equity Debt
Rebalancing Frequency Monthly
Volatility Moderately High

Strategy Description

This portfolio combines our top equity strategies, boasting a strong track record, with a 40% allocation to debt. This balance is designed to mitigate volatility while still striving for above-average returns

Asset Allocation

Strategy Selection

Category Weight
Debt Allocation 40.00%
Large Cap Momentum 18.00%
Cruise Momentum 15.00%
Financial Momentum 6.00%
Healthcare Momentum 6.00%