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Mutual Funds Adjust Portfolios Amid Market Volatility and Geopolitical Risks

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Mutual Funds Adjust Portfolios Amid Market Volatility and Geopolitical Risks

Analysed 3 Oct 2026·3 sources analysed·Shanghai, China·Business
Mutual Funds Adjust Portfolios Amid Market Volatility and Geopolitical RisksPreviousNext

Recent mutual fund developments highlight shifts in portfolio strategies amid global uncertainties. Kotak Midcap Fund changed managers, with the new manager reducing exposure to infrastructure sectors and increasing investments in IT and healthcare, yielding notable gains. Meanwhile, Quant Mutual Fund advises investors to remain flexible due to ongoing geopolitical tensions and rising commodity prices impacting global markets. Mahindra Manulife Mutual Fund views the current Indian stock market correction as cyclical, emphasizing resilient corporate earnings despite volatility from energy prices, geopolitical risks, and AI-related disruptions.

Sentiment
55%
TBN's observations

First-hand measurement across 3 sources

We measured how 3 outlets covered this story. No outlet gave this story a measurable political slant — there is no left–right reading to report. Overall sentiment is neutral (55/100). Lens Score 33/100.

Outlets measured: thefinancialexpress, economictimes, economictimes. See how each one headlined and framed the same story in the source comparison below.

AI analysis of 3 sources · Published under editorial oversight by The Balanced News
Analysed 3 Oct 2026· How this analysis is produced· Editorial standards· Corrections

AI Analysis

Sentiment — Neutral (55/100)

Sentiment was consistent across outlets (52–57/100), indicating broadly factual reporting rather than editorialising.

Coverage timeline

economictimes broke this story on 3 Oct, 05:45 am. Other outlets followed.

3 Oct, 05:45 am3 sources · 2 h3 Oct, 08:14 am
AI analysis by the TBN Bias Engine · beat methodology byMrunal Wange· Business & Economy Editor· editorial standards byOjas Kale
← Previous
Government Retains Small Savings Scheme Interest Rates for October-December 2026
Next →
OnEMI Technology Solutions Reports 68% AUM Growth and Increased Disbursements in Q2 FY27
  1. 1
    economictimes3 Oct, 05:45 am
    Indian stocks face a cyclical correction, not a deeper earnings reset: Mahindra Manulife MF CIO
  2. 2
    economictimes3 Oct, 06:34 am
    Quant Mutual Fund says investors should stay agile in portfolio allocation amid market shifts
  3. 3
    thefinancialexpress3 Oct, 08:14 am
    Kotak Midcap Fund: Is the Turnaround Still on Track?

Who's involved

Institutions and figures named across source coverage.

Corporate
Quant Mutual FundMahindra Manulife Mutual FundKotak Mahindra Asset Management Company

Story context

Category
Business
Location
Shanghai, China
Sources analysed
3
Last analysed
3 Oct 2026
Key entities
Mutual fundEquity (finance)StockMarket capitalizationGeopoliticsCurrencyIndiaKotak (band)Investment managementInformation technologyHealth care2024 Salvadoran general election