NFO – Nippon Multi Assets Fund – Product analyses and outlook
Different class of asset has its own risk reward generating ability. Asset which involve more risk like equity are generally create better returns as compare to asset class like debt, which involve lesser or moderate risk over a period of time. On the other hand, some asset class like Gold, appreciates when other assets class are in negative returns due to the some or the other factor in overall micro and macro economy. How about if a fund is managed with mix of all these three class of assets together? Thus, there are funds with Multi Assets allocations. (more…)