Tata Mutual Fund has decided to make changes in the asset allocation pattern of Tata Equity Opportunities Fund, with effect from 01 September 2009.
Accordingly the scheme will invest 65% to 100% of asset in equity and equity related instruments, with a high risk profile and 0% to 35% of asset in Debt including money market instruments. It would have a risk profile of low to medium. Investments by the scheme in securitized debt will normally not exceed 50% of debt and money markets.