A diversified portfolio blending equity, debt, and gold can deliver higher returns with lower volatility, debunking the myth that more equity equals more risk. Strategic asset allocation and rebalancing, rather than speculation, drive long-term stability and growth—backed by real data, correlation benefits, and performance across market cycles.
Goldman Sachs’ India bets: 8 stocks rally up to 85% in CY26; one new addition
Goldman Sachs’ India equity portfolio fell 6% in CY26 amid mixed stock performance. While 18 stocks declined sharply, eight delivered strong gains, led by GNG