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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 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.

Source :- Markets-Economic Times Read More

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