5 months, 1 week ago

Hybrid Funds: Balancing Risk and Return in Turbulent Times

Hybrid mutual funds offer a balanced approach by combining multiple asset classes, typically equity, debt, and sometimes commodities like gold and silver. They provide diversification, reducing risk while ensuring the possibility of consistent returns. Active portfolio rebalancing allows for optimization of returns and better risk management. While they carry certain risks, such as market volatility and interest rate sensitivity, they offer a unique opportunity for investors to access both growth and stability in one product. However, investors should carefully assess the risks and choose funds that align with their financial goals and risk tolerance.

Times of India

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