Here's How To Tackle The Current Market Scenario
Dalal Street Investment Journal|January 20, 2020 - February 02, 2020
If you are a serious investor and follow an asset allocation method to decide the asset mix for your portfolio, you would typically have equity, debt, and gold in it. While asset allocation helps in diversifying your portfolio, each of these asset classes requires a different investment strategy to stay on course, advises Hemant Rustagi, CEO, Wiseinvest Advisors
Here's How To Tackle The Current Market Scenario

It is always challenging for investors to keep their equity mutual fund portfolio on track during a defined time horizon. In the current scenario, the continued polarisation and volatility in the stock market remains a concern for investors. However, history tells us that investors who demonstrate patience and perseverance during turbulent times in the market get their due in the long run. In other words, a haphazard approach of either redeeming equity fund investments during market volatility or investing into them for making a quick buck is most likely to backfire.

The key, therefore, is to continue with your investment process uninterruptedly irrespective of the market conditions and ensure that certain basic principles of mutual fund investing are followed diligently. Considering that there is a high probability of the stock market becoming broad-based going forward, here are a couple of important investing principles which, if followed, can help you benefit from the emerging scenario.

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