Hello all,
I am investing in kotak opportunities, sbi magnum comma and reliance growth in SIP from Nov 2008. I found that kotak opportunities and sbi magnum comma are giving me comparatively low returns. Should I
1) Completely withdraw from those funds and allocate the money in SIP in DSP BR micro cap and birla SL dividend yield plus
2) Partially withdraw and allocate in funds mentioned in point(1)
3) Take no action and play the waiting game
Also last week I have started investing in HDFC top200, HDFC midcap opportunities and HDFC prudence.
PLease review my portfolio 7 suggest the actions to be taken.
happy investing:thumb:
I am investing in kotak opportunities, sbi magnum comma and reliance growth in SIP from Nov 2008. I found that kotak opportunities and sbi magnum comma are giving me comparatively low returns. Should I
1) Completely withdraw from those funds and allocate the money in SIP in DSP BR micro cap and birla SL dividend yield plus
2) Partially withdraw and allocate in funds mentioned in point(1)
3) Take no action and play the waiting game
Also last week I have started investing in HDFC top200, HDFC midcap opportunities and HDFC prudence.
PLease review my portfolio 7 suggest the actions to be taken.
happy investing:thumb: