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MARS

Mutual Fund Automated Portfolio Rebalancing System (MARS)

MARS (Mutual Fund Automated Portfolio Rebalancing System) overcomes issues whereby they can manage their asset allocation and invest in better performing schemes by the click of a mouse and maximize the returns. As the process is system driven and operationally smooth, it also helps weed out behavioral biases. MARS gives a wide array of portfolios to choose from to the investor based on his risk appetite and periodically triggers portfolio rebalancing based on deviations from the asset allocation of the model portfolio and to give Risk-Adjusted returns to the investor over a period of time.

SALIENT FEATURES OF MARS

BENEFITS OF MARS

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