Mutual fund-related information provided on this platform are generated exclusively by Mirae Asset Sharekhan's internal Product Team, utilizing data and insights backed by reputable Third-Party Research Rating agencies. Please note that these outputs and product selections are independent and do not fall under the purview, supervision, or editorial control of the Mirae Asset Sharekhan Research Team. Investors should read all scheme-related documents (SID/KIM) carefully before investing in Mutual Funds and consult a professional advisor to ensure alignment with their financial goals and risk profile.

Date Report Title Sectors Analyst Action
Apr 01 2026
Investment Strategy – April 2026
Rising geopolitical tensions and volatile crude oil prices could keep global markets sensitive to developments in West Asia, weighing on growth and inflation
Team Investment Solutions
Apr 01 2026
Top Picks - April 2026
For April 2026, we have replaced “TATA Small Cap” with “Union Small Cap”, “Invesco India Aggressive Hybrid” with “ICICI Pru Equity & Debt”, “Sundaram Multi Asset Allcation” with “Franklin India Multi-
Mirae Asset Research Team
Mar 04 2026
Investment Strategy – March 2026
India’s macro environment remains strong, supported by low inflation, stable fiscal metrics, and healthy liquidity conditions.
Feb 27 2026
Top Picks - March 2026
The Top Picks report includes Mutual Fund, SIF, PMS, AIF and Corporate Fixed Deposit schemes.
Feb 05 2026
Investment Strategy – February 2026
Moving on from the triad of the Budget, the US trade deal, and EU FTA, a revival in earnings remains key for FII flows to turn positive and the recently-announced trade deal along with growth-focused
Feb 02 2026
Top Picks - February 2026
For February 2026, we have replaced eight mutual fund schemes in top equity and top hybrid picks. We have also added new schemes in the SIF & AIF categories.
Jan 07 2026
Investment Strategy – January 2026
India enters 2026 with a pro-growth stance, aided by lower taxes, benign inflation and policy stimulus, creating a strong backdrop for sustained growth and equity recovery. RBI’s liquidity measures an
Jan 02 2026
Top Picks - January 2026
For January 2026, we have replaced “Franklin Mid Cap” with “Nippon India Growth Mid Cap Fund” among equity MFs.
Dec 09 2025
Investment Strategy – December 2025
Amid persistent global macro challenges, India’s fundamental attributes are robust and sustainable, with robust GDP growth and low inflation.
Dec 05 2025
Top Picks - December 2025
The Top Picks report includes Mutual Fund, PMS, AIF, and Fixed Deposit schemes, all shortlisted based on their respective methodologies.
Nov 04 2025
Investment Strategy – November 2025
A possible trade deal with US would boost market momentum. Domestically, easing inflation, RBI’s pro-growth stance, GST reforms and expected improvement in liquidity would aid Indian equities.
Oct 03 2025
Top Picks - October 2025
For October 2025, we have replaced “Bank of India Small Cap Fund” with “TATA Small Cap”
Oct 01 2025
Investment Strategy – October 2025
Indian equities may experience near-term volatility amid global uncertainties.