Build diversified portfolios using goal-based fund categories and disciplined investing — without displaying unverified NAV or performance data.
Use the category framework below to explore Indian mutual funds. NAV and performance figures are shown only when a dependable AMFI-derived production feed is connected.
Answer a short suitability questionnaire covering goal, time horizon, risk tolerance, investment mode and liquidity needs. The advisor is designed to explain suitable fund categories and comparison factors rather than promise returns.
| Category | Scheme | Latest NAV | NAV Date | 1Y | 3Y CAGR | 5Y CAGR |
|---|---|---|---|---|---|---|
| Live performance values are intentionally withheld in this build until the AMFI-derived server feed is configured. No fabricated returns are displayed. | ||||||
Suitable for investors seeking long-term growth and willing to accept market volatility.
Combine equity and debt exposures in varying proportions.
Focus on fixed-income securities with varying interest-rate and credit risks.