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BackIndian Investors Prioritize Resilience Over Maximizing Returns Amidst Global Flux
Indian Investors Prioritize Resilience Over Maximizing Returns Amidst Global Flux
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Economic Times18.06.2026Business3 dk okumaIndia

Indian Investors Prioritize Resilience Over Maximizing Returns Amidst Global Flux

Auf einen Blick

  • Indian investors are shifting focus from maximizing returns to building resilient portfolios, prioritizing diversification, credit quality, and behavioral management.
  • Gold, REITs, private credit, and AI infrastructure, particularly data centers, are gaining prominence as key investment themes.

KI-generierte Zusammenfassung

Warum es wichtig ist

Indian investors are adapting to a new normal of uncertainty by shifting focus from maximizing returns to building resilient portfolios. This involves diversification across assets and geographies, with a growing interest in gold, yield-generating assets, and AI infrastructure.

Schriftgröße

Indian investors are shifting focus from maximizing returns to building resilient portfolios. Experts advise diversification across assets and geographies. Gold is gaining prominence as an inflation hedge. The focus is on yield-generating assets like REITs and private credit. Opportunities are emerging in AI infrastructure, particularly data centers, supported by India's renewable energy growth.

Uncertainty isn't a passing phase anymore, it's the new normal for investors. That was the core message from wealth management leaders at the ET Alpha Wealth Summit, where a panel of top industry voices including Rajesh Saluja, Co-Founder, CEO & MD, ASK Private Wealth, Nilesh Shah, Group President & Managing Director and Kotak Mahindra Asset Management Company (KMAMC) broke down how India's affluent investors are repositioning their portfolios for a world of constant geopolitical and economic flux. The topic of discussion was 'Global or Local? The New Allocation Reality'.

"Resilient, not return-maximizing" portfolios are the new goal

Rajesh Saluja, Co-Founder, CEO & MD of ASK Private Wealth, told the audience that decades of market shocks, from the Asian crisis to the pandemic, have taught wealthy investors one lesson: chasing the highest possible returns is a losing game. Instead, the focus has shifted to building portfolios that can absorb shocks without falling apart.

His three guiding principles for protecting wealth in turbulent times:

Diversify across asset classes and geographies, don't let a portfolio become overly dependent on one country or one type of investment.

Prioritize credit quality over chasing yield, reaching for unusually high fixed-income returns often means taking on hidden risks that can erode capital.

Manage behavior, not the market, discipline and temperament matter more than trying to time market swings.

He also flagged a growing danger: FOMO-driven investing into pre-IPO private deals, many of which come with very little transparency. Saluja cautioned that investors are getting overexposed to these high-risk private transactions simply because public markets have been choppy.

Where the smart money is actually going

So what does a "resilient" portfolio look like in practice? According to Saluja, several clear trends are emerging among high-net-worth investors:

Global diversification is now standard practice. Most client portfolios now carry 10–15% exposure to international developed and emerging markets, spreading risk beyond India alone.

Gold is back in a big way. With central banks purchasing more than 1,000 tonnes of gold annually over the past three years, the metal is increasingly viewed as a hedge against inflation and a weakening dollar - and it's earning a permanent spot in portfolios via ETFs and mutual funds.

Yield-focused, not duration-focused, fixed income. REITs, InvITs and private credit have surged in popularity as investors look for steady income without betting on long-duration interest rate calls.

Thematic plays around AI, defence and climate are drawing significant interest -three themes the panel described as defining the coming decade.

The real opportunity: AI infrastructure, not AI models

One of the most striking insights from the discussion was around artificial intelligence. While India may have missed the race to build its own large language models, Saluja argued the bigger prize lies in AI infrastructure, particularly data centers.

He pointed to a wave of capacity expansion following security incidents that disrupted data centers in the Middle East, which has pushed global tech giants to direct massive contracts toward Indian operators. Some companies, he noted, have already secured multi-year deals for hundreds of megawatts of capacity from major technology firms, a sign that "data is the new king" isn't just a slogan but a real investment theme backed by India's renewable energy buildout, which is targeting a jump from roughly 200 gigawatts to 500 gigawatts of capacity by 2031.

The takeaway

The panel's message was clear: in an environment where geopolitical shocks are the rule rather than the exception, wealth preservation depends less on predicting the next crisis and more on disciplined diversification, across asset classes, geographies, and emerging themes like energy, data infrastructure, and gold.

Worauf zu achten ist

KI-Ausblick — Möglichkeiten, keine Fakten

  • AI infrastructure, particularly data centers, will be a significant investment theme in India.

    Sehr wahrscheinlich · Mittelfristig

  • Gold will continue to be a prominent inflation hedge and permanent portfolio asset.

    Wahrscheinlich · Mittelfristig

Offene Fragen

  • What specific regulatory changes might impact AI infrastructure investments in India?
  • How will global economic slowdown affect demand for data centers?
  • What are the long-term risks associated with private credit investments?

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This article was originally published by Economic Times.

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