India's problems are serious and should investor's strategies be
20-Sep-2013 •Research Desk
The year 2013 will go down in the annals of Indian economic history, alongside 2008, 2001, 1997, 1993 and 1991, as the one which shook the very fundamentals of the economy. At the same time, this serious crisis also calls for serious reorientation of the investment strategy as special times require special measures. This is the advice cover story of current Mutual Fund Insight gives you by putting current things in perspective vis-a-vis the past.
Coming to the other stories, we take a look at the credit quality of mutual funds and how they are faring in the current scenario in the Fund Radar section.
Also, there are short interviews with Tai Hui, MD, Chief Market Strategist Asia-JP Morgan Asset Management and Atul Patel, ICICI Prudential US Bluechip Equity.
Plus, there are all the regular features, Buy Sell Hold, The Plan and India's most comprehensive Mutual Fund Scorecard, and exclusive columns: Econology by Jay Dubashi, Of This and That by Sanjeev Pandiya and Economic Viewpoint by Paranjoy Guha Thakurta.
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