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Shield Portfolio

crown ETMONEY PRO

Shield Portfolio

Mutual Fund
genius

₹5,000

riskometer

9.2% p.a.

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suitable This portfolio is suitable for 0 yrs horizon

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Complete your risk profile to see if this portfolio is suitable for you...

Safeguard your savings for emergencies with returns that beat FDs and keep inflation at bay.

By creating a diversified investment portfolio, which is to spread capital across more than just one investment category, investors can reap benefits. Diversification into multiple asset classes will help to protect an investor's capital in the event that one segment of the financial markets does not perform well.

Portfolio diversification, meaning picking a range of assets to minimize your risks while maximizing your potential returns, is a good rule of thumb. A good investment portfolio generally includes a range of blue chip and potential growth stocks, as well as other investments like bonds, index funds and bank accounts

Introduction. Portfolio construction is a process of selecting securities optimally by taking minimum risk to achieve maximum returns. The portfolio consists of various securities such as bonds, stocks, and money market instruments.

At a glance

  • BETTER RETURNS

    This porfolio has a 9.24% CAGR vs benchmark's 7.89% since inception

  • LESSER DRAWDOWN

    During the worst fall, this portfolio fell by 7.59% vs benchmark's 16.00%

  • LOWER RISK

    This porfolio has a 4.27% risk vs benchmark's 4.62% since inception

Past returns

idea

This portfolio outperformed the benchmark on a yearly basis for 10 out of last 15 yrs.

Period This portfolio Benchmark
Period Median Chance of return > 8%
Any 10 yrs 6.4% Always
Any 7 yr 21.4% Always
Any 5 yr 50.4% Always
Any 3 yr 34.4% 29.4%
Any 1 yr 0.3% 3.4%
This portfolio Benchmark

Trailing returns are the point-to-point returns generated in a specific period such as the last 1 year, 3 years, 5 years and so on

Risk and Drawdown

  • Total risk

    19.4%

    Portfolio

    VS

    43.45%

    Benchmark

  • Return/risk

    19.4%

    Portfolio

    VS

    43.45%

    Benchmark

  • Max Drawdown

    -3.45%

    Portfolio

    VS

    43.45%

    Benchmark

Past Performance

See how much your investment would have yielded:

This Portfolio

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LAUNCH
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Past performance of this portfolio takes into account the monthly rebalancing of the portfolio at the start of each month. However, it does not guarantee future returns.

Current Asset Allocation

We distribute the funds in appropriate proportion among small, mid and large cap stocks based on underlying strategy of the portfolio.

Asset allocation philosophy

Shield Portfolio maintains a minimum 70% allocation to Debt while rest can be in Equities and Gold.

Equity

Upto 20%

Debt

At least 70%

Gold

Upto 20%

Additional information

Initial investment amount

₹5,000

Additional investment amount

₹5,000

Minimum redemption amount

₹5,000

Want to know more?

Browse through our frequently asked questions to learn more of how Shield Portfolio works.

View FAQs

Disclaimers : Mutual fund investments are subject to market risks, read all scheme related documents carefully.

not suitable Portfolio is unsuitable for you. See why

亚博电竞 csgo 日博电竞外围全球9.4.2 dota2投注线上 lpl电竞比分注册APP v2.6(lpl电竞选手下载v3.1版) JJ竞技(拉萨)登录手游