Platinum Conservative
We offer our top-tier equity strategies for a conservative investor with a low-risk appetite, aiming to generate slightly higher returns while maintaining risk tolerance.
Risk Level: Moderately Low
Min Investment: ₹25 Lakhs
30 Days Return:
3.52%
90 Days Return:
6.06%
365 Day Return:
21.29%
Annualised Returns:
10.55%
Strategy Specifications
Strategy Inception Date | Jan. 1, 2016 |
Min Investment | ₹25 Lakhs |
Strategy Type | Diversified Portfolio |
Asset Classes | Equity Debt |
Universes | Large Caps Money Market Multi Caps Small Caps Sovereign debt |
Investment Styles | Multi-Asset Momentum Multi-Strategy Factor Investing Rotation |
Instruments | ETFs |
Rebalancing Frequency | Monthly |
Volatility | Moderately Low |
Strategy Description
With only 20% allocation to equity strategies, the goal of this portfolio is to outperform other investment options avaiaible to an investor with a low risk appetite.
Asset Allocation
Strategy Selection
Category | Weight |
---|---|
Debt Allocation | 80.00% |
MNC Momentum | 12.00% |
Cruise Momentum | 8.00% |
Platinum Conservative | FBC Generic Blended Conservative Benchmark | |
---|---|---|
30-day returns | 3.52% | 1.16% |
90-day returns | 6.06% | 2.45% |
YTD returns | 9.62% | 4.04% |
1-year returns | 21.29% | 12.62% |
Returns since inception | 131.77% | 90.50% |
Annualised returns | 10.55% | 7.99% |
Best year returns | 16.89% | - |
Worst year returns | -3.92% | - |
Sharpe ratio | 0.99 | 0.3 |
Max drawdown percent | -4.68% | -7.19% |
Discalaimers
Historical simulations or live model portfolio performance is provided for informational purposes only to indicate historical performance had Flameback Strategies been available to investors.