Multi Asset Strategy Report: Axis Securities
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Multi Asset Strategy Report: Axis Securities

BQ Blue’s special research section collates quality and in-depth equity and economy research reports from across India’s top brokerages, asset managers and research agencies. These reports offer BloombergQuint’s subscribers an opportunity to expand their understanding of companies, sectors and the economy.

Axis Securities Report

Asset Allocation For FY22

Covid-19 Update: India has entered into the third phase of vaccination from April 01. This phase will cover the Indian citizen age group of 45 and above.

High-Frequency Indicators: March GST collection has crossed Rs 1.2 lakh crore which stood above Rs 1 lakh crore for the sixth straight month.

Equities: The fiscal year ended on a strong note for the equity markets with all the sectors delivering positive returns.

Fixed Income - Bond yields were volatile for the month and recovered by 6 basis points during the month of March.

Gold - Overall investor’s sentiments have improved in the last few months. Now the investors are betting higher on riskier assets like equity.

Currency - Indian currency was largely stable in March and remained range-bound.

Click on the attachment to read the full report:

Axis Securities MultiAssetStrategy-April-2021.pdf


This report is authored by an external party. BloombergQuint does not vouch for the accuracy of its contents nor is responsible for them in any way. The contents of this section do not constitute investment advice. For that you must always consult an expert based on your individual needs. The views expressed in the report are that of the author entity and do not represent the views of BloombergQuint.

Users have no license to copy, modify, or distribute the content without permission of the Original Owner.

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