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AIF fund managers seek higher F&O exposure, separate category of high risk funds

Market experts said the main reason for SEBI capping derivatives exposure for AIFs and MFs is that they handle public money. But some AIF money managers counter that saying there should be a level playing field between AIFs and FPIs, because both are regulated by Sebi and both raise money from sophisticated investors.

July 11, 2024 / 11:03 IST
Some AIF fund managers say there can be new category labelled high risk or some such which will be predominantly trading in derivatives.
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