As FY2025-26 begins, investors should align strategies with risk profiles. Conservative investors can focus on debt and hybrid funds, moderates on large-caps and dynamic allocation, and aggressive investors on mid/small-caps and sectoral themes. SIPs remain key amid global volatility, inflation concerns, and supportive domestic fundamentals post-Union Budget.
Why FIIs are dumping bluechips to hunt small & midcaps
Foreign institutional investors are shifting their focus from India’s top blue-chip stocks to a wider array of mid- and small-cap companies. This strategic repositioning is