Imagine you have invested 50% of your money in the Nifty Index Fund portfolio. And another 50% in a mutual fund portfolio with an average of 50% debt allocation and 50% in equity allocation. Which part of your investment would have generated higher returns in the last 10 years? You would say obviously the first portfolio which has 100% equity allocation because equity performed far better than debt in the last 10 years.What if I tell…
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