A Multi Asset Allocation Fund is an open-ended scheme that invests in at least 3 asset classes with a minimum allocation of at least 10% in each asset class. It can invest in asset classes like equity, debt, and commodities at the same time. This mix of asset classes helps your investments manoeuvre around market volatility, keeping your core portfolio strong. It brings the inherent advantages of each asset class to your investments: • Equity is aggressive. It flows with volatility and grabs market opportunity thereby giving your investment an opportunity for long-term growth and wealth creation. • Debt is conservative. It has lower volatility than equity and generates reasonable returns in the short term, bringing consistency in the returns. •Commodities like gold/silver tend to be calm and indifferent. These acts as a hedge against inflation and generates reasonable returns in volatile times. When these uncorrelated asset classes unite, they can give your investments a diversity of higher returns and lower volatility. #3in1TohInvestmentDone #MultiAssetAllocationFund #MAAF #pankajmathpal