In an exclusive conversation, Devender Singhal of Kotak Mutual Fund highlights how a disciplined multi-asset strategy can navigate current market volatility. This approach balances risk across asset classes, reduces emotional investing, and builds long-term wealth resilience, especially in the face of geopolitical and oil price uncertainties.
Fed up with market shocks? Here is Kotak MF’s formula to stay resilient
In an exclusive conversation, Devender Singhal of Kotak Mutual Fund highlights how a disciplined multi-asset strategy can navigate current market volatilit…
