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Inside 360 ONE’s Multi Asset Fund: Raghav Iyengar on Diversification, Volatility, and Smarter Investing
Description
Raghav walks us through the fund’s asset allocation strategy, the role of the Asset Allocation Committee, and how their flexible, macro-driven approach helps manage volatility without compromising returns. He also shares insights into their SCDV-based equity selection philosophy, real-time defensive shifts, and how this fund fits into different investor profiles—from first-time savers to seasoned portfolio builders.
Key topics covered:
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What makes 360 ONE’s multi-asset fund unique
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Strategic asset mix: equity, debt, gold/silver, REITs/InvITs
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Behavioural edge & investor suitability
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Why it’s ideal for 3–5 year goals or defensive allocation
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How fund managers stay flexible in a VUCA world