Our MSC Fund enables investors to easily diversify away from stock market volatility, ensuring better performance and reduced risk.
Example: Consider an investment of Rs. 10,00,000 for a tenure of 3 years. The returns generated by different investment sources are as follows:
MS Capital's investment strategy is characterized by guaranteed returns of 10% per annum, a focus on risk-free investments, high liquidity, and professional management by seasoned experts. These features underscore its commitment to delivering stable returns and safeguarding investor interests.
The fund claims to provide a fixed annual return of 10%. This means investors can expect a steady income without fluctuations. 10% P.A (Per Annum)
The term "risk-free" suggests that the investment is protected from market volatility and that the principal amount is secure.
The fund offers the ability to quickly convert investments into cash without significant loss of value.
The fund is managed by experienced professionals who make investment decisions on behalf of investors.