Wealth Creation Through Mutual Funds: A Strategic Approach
At the core of mutual funds lies the principle of diversification. With shares of over 4,000 listed companies and thousands of bonds and other securities available for trade, making choices can be challenging for investors. However, by pooling money from various investors, mutual funds construct portfolios that span a broad spectrum of stocks, bonds, and other securities. This diversification serves as a risk mitigation strategy. For instance, in challenging market years like 2008 (Nifty down 52 per cent), 2011 (down 25 per cent) and 2015 (down 4 per cent), a majority of actively managed equity funds fell less than the market. Funds provide exposure to different industries and asset classes, fostering stability within portfolios.