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ET Now - The Money Show-Landscape of mid-cap and small-cap stocks and MFs investing in large-cap stocks

In a dynamic market environment shaped by geopolitical risks and shifting valuations, investors often struggle between reacting to short-term noise and staying focused on long-term goals. In this conversation, Morningstar's Kaustubh Belapurkar highlights why volatility should be seen as an opportunity, not a threat. Backed by data across market cycles, the discussion reinforces the importance of staying invested, avoiding market timing, and maintaining disciplined asset allocation. It also explores evolving fund manager strategies, SIP resilience, and the role of diversification in building more stable, goal-aligned portfolios.
Mar 30, 2026
 

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ET Now - The Money Show-Landscape of mid-cap and small-cap stocks and MFs investing in large-cap stocks
In a dynamic market environment shaped by geopolitical risks and shifting valuations, investors often struggle between reacting to short-term noise and staying focused on long-term goals. In this conversation, Morningstar's Kaustubh Belapurkar highlights why volatility should be seen as an opportunity, not a threat. Backed by data across market cycles, the discussion reinforces the importance of staying invested, avoiding market timing, and maintaining disciplined asset allocation. It also explores evolving fund manager strategies, SIP resilience, and the role of diversification in building more stable, goal-aligned portfolios.
ET Now Swadesh - Nivesh ki ABCD-Investing during volatile times
Amid global uncertainty, rising commodity prices, and volatile markets, investors often face the temptation to react to short-term movements. In this discussion, Morningstar's Kaustubh Belapurkar explains why staying invested and maintaining a long-term perspective remains critical for equity investors. Backed by historical data, the conversation highlights how missing a few key market phases can significantly impact returns. It also explores evolving fund manager strategies, balanced asset allocation, the role of gold as a portfolio hedge, and the importance of SIP discipline. The key takeaway: patience, diversification, and consistency are essential for sustainable wealth creation.
CNBC-TV18-Starting 2026 on the Right Foot-India
With sharp divergence across sectors in 2026, investors are grappling with uneven market performance and uncertain returns. In this discussion, Morningstar's Himanshu Srivastava decodes how mutual fund managers are positioning portfolios amid volatility. The conversation highlights a balanced approach between large, mid, and small caps, with a focus on risk management rather than aggressive bets. It also unpacks sector trends-from cautious views on IT and metals to growing interest in consumption-driven themes like autos. The key takeaway: disciplined asset allocation, diversification, and staying invested remain critical in navigating complex market cycles.
ET Now- Closing Trades-Morningstar Investment Conference
Despite geopolitical uncertainties and currency concerns, global investors continue to view India as a compelling long-term investment destination. In this conversation, Kunal Kapoor, CEO, Morningstar Inc, highlights the steady rise in foreign allocations across both equities and fixed income, supported by India's structural growth story. While short-term factors like trade negotiations and IPO activity may create noise, the broader trend remains intact. A key positive is the resilience of domestic investors, with consistent SIP flows reinforcing market stability. The discussion underscores a clear message: long-term discipline, diversification, and staying invested matter far more than reacting to temporary market events.
CNBC TV18- MF Corner-Investor Interest In Gold & Silver Funds
Rising gold and silver prices have triggered a surge in ETF inflows, while passive funds continue to gain traction among Indian investors. In this discussion, Morningstar's Kaustubh Belapurkar unpacks the drivers behind this trend and cautions against chasing recent performance. While passive investing is expanding alongside active strategies, the sharp inflows into commodity ETFs highlight the risk of recency bias. The conversation emphasizes the role of gold as a portfolio diversifier rather than a return driver, suggesting a measured allocation approach. The key takeaway: balance, diversification, and disciplined asset allocation remain essential amid evolving market trends.
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