Kotak Mutual Fund's Strategy for Resilience Amid Market Volatility
Fed up with market shocks? Here is Kotak MF’s formula to stay resilient
Image: The Economic Times
In an exclusive interview, Devender Singhal, Fund Manager at Kotak Mutual Fund, discusses the importance of multi-asset allocation funds in navigating current market uncertainties, emphasizing disciplined investment strategies to enhance portfolio resilience and long-term wealth creation.
- 01Multi-asset funds help balance risk across different asset classes, providing stability during market volatility.
- 02A disciplined approach to asset allocation is crucial, especially in light of ongoing geopolitical tensions and oil price fluctuations.
- 03Investors should focus on quality businesses with strong fundamentals and limited sensitivity to input-cost pressures.
- 04Gold remains a vital component of a diversified portfolio, acting as a hedge during periods of uncertainty.
- 05A phased investment strategy over a 3-5 year horizon is recommended for entering the market.
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In a recent discussion, Devender Singhal, Fund Manager at Kotak Mutual Fund, highlighted the significance of multi-asset allocation funds in navigating the current volatile market landscape characterized by geopolitical tensions and fluctuating oil prices. He explained that these funds help investors maintain a balanced risk profile by diversifying across asset classes that do not always correlate. Singhal emphasized the importance of a disciplined investment strategy, particularly in uncertain times, where emotional decision-making can lead to poor outcomes. He noted that gold continues to play a crucial role in providing stability and acting as a hedge against risks. Furthermore, he advised investors to focus on quality companies with strong balance sheets and to adopt a phased investment approach over a 3-5 year horizon to ensure long-term wealth creation. Singhal concluded by asserting that multi-asset investing in 2026 will be essential for staying invested, diversified, and resilient amidst rapid global changes.
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Investors can benefit from adopting a multi-asset strategy to mitigate risks associated with current market volatility.
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