By Dhuraivel Gunasekaran | November 7, 2024
With market volatility on the rise, aggressive hybrid funds offer a balanced option, blending equities with debt to manage risk and capture growth.
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10-Year SIP Return (XIRR): 18.9% Managed by Ankit A. Pande, Vasav Sahgal, and Sanjeev Sharma, this fund’s high equity allocation targets long-term growth.
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10-Year SIP Return (XIRR): 18.5% A balanced choice with managers like Mittul Kalawadia and Sankaran Naren focusing on large, mid, and small-cap stocks.
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10-Year SIP Return (XIRR): 17.5% Managed by Asit Bhandarkar, this fund adjusts between equity and debt, adapting to changing economic conditions.
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10-Year SIP Return (XIRR): 15.4% Bharat Lahoti and team mix equity with credit and duration strategies to provide stable returns.
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10-Year SIP Return (XIRR): 15.4% With managers Abhishek Bisen and Atul Bhole, this fund combines growth in equities with stable debt holdings.
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10-Year SIP Return (XIRR): 15.2% V. Srivatsa and Sunil Madhukar Patil aim for balanced growth with exposure to equities and debt securities.
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10-Year SIP Return (XIRR): 14.7% Abhishek Singh and Kedar Karnik manage this fund, using a conservative approach to smooth out volatility.
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10-Year SIP Return (XIRR): 14.4% Managed by Ennette Fernandes, this fund balances risk with potential rewards across large-cap and mid-cap stocks.
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