Multi-Asset Dynamic Portfolio

Multi Asset Dynamic Portfolio is a quant driven, trigger based tactical asset allocation strategy, which takes passive exposure to asset classes via Index Funds or ETFs to eliminate stock and sector selection risk, while focusing solely on asset allocation in order to drive superior absolute risk adjusted returns across economic and market cycles.

The strategy invests in Domestic & International Equities for growth, Gold & Liquid for Safety, and Corporate Bonds and GILT Securities for stability. The asset allocation is done by our Proprietary Quant models like Macrometer, Cyclometer, Monetary Meter, Global RORO, Sentimeter, Relative Value Meter, Momentum Meter, Technometer and Goldmeter. Accordingly, our Model assigns weights to asset classes as per output of the meters, purely based on data and rules, avoiding any human and emotional biases. The strategy concentrates on trigger based agile asset rotation across multiple asset classes, with an aim to consistently provide stable and sustainable returns with minimal drawdowns across market cycles.

Features of MADP

Asset Allocation Matters the Most

Asset Allocation drives 91.5% of returns, while security selection and market timing contribute only 7% With our Multi Asset Approach, combine the power of equity and debt. Grow your wealth in equity and protect it with fixed income instruments.

Buy the Market, Not the Stocks

We invest tactically across index funds and ETFs that represent the broader market instead of a basket of stocks, eliminating stock as well as sector concentration and selection risk.

Performing Across Market Cycles

Being a dynamic multi asset strategy, it identifies opportunities across asset classes under different market and economic cycles and allocates accordingly

Quantamental Framework

The strategy follows Quantamental investment framework based on Fundamental + Alternative + Quantitative + Technicals (FAQT) techniques to decide tactical rotation across asset classes.

7 Reasons to Invest in MADP

We Invest In

Diversified multiasset investing through Index/mutual funds & ETFs only, to eliminate all stock and sector selection risk

Domestic Largecap Equity

Nippon India Nifty Bees / Nippon India Junior Bees

Domestic Midcap
Equity

Nippon India Nifty Midcap 150 ETF

International
Equities

Motilal Oswal Nasdaq 100 ETF / Motilal Oswal S&P 500 Index Fund

Gold

Nippon India Gold Bees

Government
Securities

Nippon India Long Term Gilt Fund /
ICICI Pru 10 Year Constant Maturity Fund

Corporate
Bonds

Bharat Bond ETF /
Corporate Bond Fund

Liquid
Funds

Nippon India Liquid Bees /
DSP Liquidity Fund

7 Reasons to Invest in MADP