US transportation and semiconductor stocks, along with small-cap stocks, have experienced a drop during April, indicating concerns over economic growth. Experts point to fears of a recession and the Federal Reserve’s aggressive monetary tightening as reasons for investors’ caution. Economically-sensitive sectors such as utilities and healthcare have rallied in recent weeks, while concerns over a possible US default and global trade disputes have raised concerns about economic growth across markets.
A 70:30 strategy could help investors balance gold and silver exposure: Tata Mutual Fund
Tata Mutual Fund recommends a 70:30 strategic allocation between gold and silver for investors looking to balance stability with growth. The fund house remains bullish