Multi-Asset Investing : Diversification For Stability & Growth
Imagine constructing a financial safety net where each strand is a different type of investment –together, these strands form a robust structure that cushions against the unpredictable falls of the market. This is the essence of multi-asset investing, a strategy that weaves together various asset classes such as equities, debt, commodities, and newer instruments like REITs and InvITs into a single, diversified portfolio. This approach, which can be practised through both retail and mutual fund investment, ensures that when one strand of the net weakens due to market fluctuations, others can hold firm, protecting the portfolio and balancing its performance.
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