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New SIP model allocations for November categorized by risk to guide mutual fund investor selection

Risk-based SIP portfolios for November were developed to support mutual fund investors with better allocation discipline through conservative to aggressive risk segmentation frameworks.
Indian mutual fund SIP portfolios for November 2025 are being grouped based on conservative, moderate and aggressive risk tiers to align investment planning with volatility tolerance and financial objective duration. Wealth analysts note such model alignment frameworks help simplify decision mapping for first-time retail participants who remain price sensitive amid uncertain global policy cycles. The new SIP themes continue to leverage large cap stability, selective midcap rotation and hybrid allocations, while advisors stress disciplined monthly flow consistency remains core to long term compounding advantage irrespective of market phase entry timing.