How to Select the Right Bond Mutual Fund - Part 2
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Description
Hello listeners, this is part 2 of the previous face2face podcast, which was on how to select debt mutual funds. Back again, we have guest speaker, Mr. Kirtan Shah who will explain how to select the right bond mutual fund in this awaited series.  In this edition, the speakers will talk about concentration risk, credit rating, and other parameters that are needed for selecting the right bond mutual fund. This includes the demonstration of site selection, data analysis, and keeping a check on the market.  Mr. Shah will also suggest the correct method of choosing the bond mutual funds through practical calculations required in the market.  The importance of concentration risk is deeply focused because it makes a major difference in the outcome of the investment. The correlation between NAV and  concentration risk is also given with the relevant calculations.   Mr. Shah has been successful in explaining the modes of investment and the relevant aspect of tracking the market, which should not be missed at any cost. So sit back, relax and enjoy this series and learn all about Debt Investing!