HDFC Prudence Fund is a Balanced Fund that invests a healthy portion of its assets in Debt and other Fixed Income Instruments. The Asset Allocation % on the various asset categories for this fund is as follows:
Equity - 61.36%
Debt - 20.85%
Others - 14.13% (This includes Equity related products like Derivatives & other Instruments)
Money Market - 2.3%
Cash - 1.35%
Asset allocation mutual funds are funds in which a portion of the funds are dedicated to specific stocks or bonds. With that in mind, the controller of the mutual fund ensures that funds are proportioned correctly.
Western Asset Worldwide Income Fund Inc. (SBW)had its IPO in 1993.
The symbol for Western Asset Variable Rate Strategic Fund Inc. in the NYSE is: GFY.
The symbol for Western Asset Emerging Markets Debt Fund Inc in the NYSE is: ESD.
The symbol for Western Asset Global High Income Fund Inc in the NYSE is: EHI.
ICICI Prudential Focused Bluechip Equity Fund is a Fund that invests a healthy portion of its assets in Debt and other Fixed Income Instruments. The Asset Allocation % on the various asset categories for this fund is as follows: Equity - 94.09% Index Futures & Options - 2.39% Debt - 3.52%
Asset allocation mutual funds are funds in which a portion of the funds are dedicated to specific stocks or bonds. With that in mind, the controller of the mutual fund ensures that funds are proportioned correctly.
HDFC Prudence fund invests over 60% of its assets in Equities (shares) and has a diversified asset allocation spanning the various sectors of company's available. The Sector Weightage (%) for this fund is as follows:Sector NameWeightage %Banking & Financial Services13.89%Information Technology8.09%Manufacturing6.63%Oil & Gas6.23%Pharmaceuticals4.86%Metals & Mining3.76%Telecommunication2.79%Engineering & Capital Goods2.46%Automotive2.12%Media & Entertainment2.04%Consumer Goods Non-durables1.80%Cement & Construction1.45%Chemicals1.39%Food & Beverages1.06%Consumer Goods Durables0.86%Others1.93%
Usually because of bad stock selection & asset allocation by the Mutual Fund Manager.
This depends on the company that you are doing the investments with. Each company has different requirements which are needed for an investment account.
The symbol for Clough Global Allocation Fund in the AMEX is: GLV.
The symbol for Guggenheim Credit Allocation Fund in the NYSE is: GGM.
Guggenheim Credit Allocation Fund (GGM)had its IPO in 2013.
Clough Global Allocation Fund (GLV) had its IPO in 2004.
According to U.S. News, the best balanced mutual fund depends on different categories, including the type of allocation. For aggressive allocation, the best balanced mutual fund is the SAAT Moderate Strategy Allocation Fund, whereas for conservative allocation James Balanced: Golden Rainbow Fund ranks highest. For moderate allocation, Mairs & Power Balanced Fund is ranked as best by U.S. News.
As of July 2014, the market cap for Clough Global Allocation Fund (GLV) is $161,527,700.88
As of July 2014, the market cap for Guggenheim Credit Allocation Fund (GGM) is $163,210,633.18.