Wealth

Agra Wealth Management:Sector Insights from India’s Equity Market

Using the MSCI equity-factor model for India, we decomposed the cross-sectional volatility (CSV), a measure of return dispersion, of the MSCI India Investable Market Index (IMI). We observed that the stock-specific contribution to CSV dominated the market’s returns for most of the last two decades. Over this period, bottom-up stock selection offered opportunities to add […]

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Financial

Ahmedabad Investment:How to Invest in Index Funds in India?

Back in the day, people used to say, “Do not put all your eggs in one basket.” Today, in the world of investing and wealth creation, that’s called diversification. Investors should diversify their portfolios between several asset classes, such as equity, debt, gold, and real estate. This diversification helps lower investment risks and maximise returns. […]

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