‘In BAF, over 80% of debt portfolio will be in AAA securities’

The debt strategy of the balanced advantage fund will be totally different from that of the funds that were shut down, Anand Radhakrishnan, MD & CIO, Emerging Markets Equity – India, FT

from mint - Money https://ift.tt/1KQ9TOP
https://ift.tt/uACHzWQ

Comments

Popular posts from this blog