This model portfolio of money market mutual funds comprises funds that invest in short term money market securities with maturity upto 1 year, focusing on capital preservation and high liquidity. The portfolio aims to deliver stable returns higher than bank deposits with similar maturity.
Our fund-selection methodology is based on a data-driven model using a multi-factor approach to identify funds that offer consistency, low risk and efficient liquidity management. An additional qualitative layer of analysis is applied to each fund before shortlisting the final picks.
The strategy will continuously monitor these funds and recommend changes if the relative risk outlook, compared with other mutual funds in the same category, shifts materially. Adjustments may also be made if changes in fund management style, investment policy, or fund manager introduce uncertainty.
Invest in this portfolio of funds across asset management companies — blending multiple high-quality money market funds to provide stability, liquidity, higher returns than bank deposits and a reliable solution for short term cash management needs over a 3 to 6 month horizon.