July 11, 2025

portfolio diversification

Investors

Bond Fund Investing: 3 Key Risks Retail Investors Shouldn’t Ignore

Bond and debt mutual funds offer steady returns and portfolio diversification, but they come with inherent risks. Although less volatile than equities, they remain sensitive to market dynamics. Understanding three major risks, duration, credit, and liquidity, is essential for informed decision-making and prudent portfolio management. Let’s break them down. Duration risk Also known as interest

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Funds

Gold boosts multi-asset funds – Commodities News

The sharp rally in gold prices has acted as a strong performance cushion for multi-asset funds during periods of market volatility. These funds help reduce portfolio concentration risk while ensuring participation across asset classes. For moderate-risk investors, these funds serve as a middle path between aggressive equity funds and conservative debt options. Investors should maintain

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