Analysis Not Available
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| Fund
Objective |
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The scheme aims to generate returns by investing primarily in a portfolio of debt funds, liquid funds, money market funds and equity funds accessed through the diversified investment styles of underlying scheme selected in accordance with the OptiMix Multi Manager investment process. It will invest about 15% of its assets in equity funds.
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| Stated Asset Allocation |
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Min |
Max |
| Equity |
0 |
20 |
| Debt |
80 |
100 |
| Cash & Cash Eq. |
0 |
10 |
| Commodities |
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| Manager's Biography |
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Shravan Kumar Sreenivasula
Since: Dec - 2012
Mr. Sreenivasula has B.Tech degree from IIT Kharagpur, and a PGPM degree from ISB Hyderabad.
Prior to working as a fund manager, Mr. Sreenivasula was the Vice President , ING Investment Management, Senior Research Analyst, Television Eighteen India, and Senior Consultant ,Capgemini India.
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| Analyst's
Picks |
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MIP: Must Improve Performance
Back In Vogue?
Monthly Income Plan
Equity Interest
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