Portfolio Strategy for 2025: Balancing Growth, Stability, and Risk Management

With market uncertainties, high interest rates, and global economic shifts, 2025 requires a diversified and adaptive investment strategy. Investors should focus on a mix of equities, SIPs, gold, fixed-income instruments, and alternative investments to balance risk and returns. 1. Equities: Selective & Defensive Approach (40%) Strategy: Stick to high-quality stocks with strong balance sheets. Use SIPs in […]