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Summary Info
Fund Name Quant Mutual Fund
Scheme Name Quant Multi Cap Fund - Direct (IDCW)
AMC Quant Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Sandeep Tandon
Net Assets ()Cr 7,466.00
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -1.08 4.90 4.63 -0.76 3.02 13.44 13.63 15.55
Category Avg -1.55 1.39 -3.25 -3.98 3.63 16.22 15.00 12.26
Category Best 2.59 11.46 10.41 8.96 27.51 31.29 25.75 40.90
Category Worst -4.46 -8.91 -14.79 -20.21 -15.29 1.02 3.07 -17.52
Holdings
Company Name No of Shares Market Value Hold %
Adani Power 29,026,095 643.94 8.63
Aurobindo Pharma 4,294,483 596.72 7.99
ICICI Bank 2,865,182 361.99 4.85
Adani Enterp. 1,197,088 288.31 3.86
Adani Green 2,269,622 278.52 3.73
Reliance Industr 1,644,035 235.23 3.15
Swan Corp 6,537,314 218.64 2.93
Samvardh. Mothe. 17,484,000 211.92 2.84
Sun TV Network 3,261,000 197.49 2.65
IRB Infra.Devl. 90,215,884 194.33 2.60
AWL Agri Busine. 8,928,426 175.33 2.35
LIC Housing Fin. 2,779,729 154.19 2.07
CRISIL 349,522 149.90 2.01
Strides Pharma 1,422,000 147.43 1.97
K P R Mill Ltd 1,315,789 123.24 1.65
PB Fintech. 653,306 108.85 1.46
A B Lifestyle 10,472,170 107.63 1.44
Embassy Develop 22,852,575 105.76 1.42
G S F C 6,023,538 102.64 1.37
Honda India 432,082 99.77 1.34
Premier Energies 950,459 96.77 1.30
Lloyds Metals 526,769 92.94 1.24
Mah. Seamless 1,382,031 88.45 1.18
Rossell Techsys 892,817 88.36 1.18
Zydus Wellness 1,676,074 85.24 1.14
NMDC 9,061,012 81.88 1.10
JSW Infrast 2,971,072 80.81 1.08
Tata Comm 499,229 78.90 1.06
Century Enka 1,720,053 72.43 0.97
Juniper Hotels 3,227,555 65.48 0.88
NCC 3,612,332 59.18 0.79
Welspun Corp 374,610 47.45 0.64
Aditya Bir. Fas. 6,282,488 40.33 0.54
HFCL 3,463,172 40.18 0.54
Poly Medicure 264,798 40.04 0.54
Nippon Life Ind. 326,556 32.98 0.44
Tata Chemicals 404,182 32.70 0.44
Usha Martin 698,546 31.56 0.42
ICICI Pru Life 573,931 29.49 0.40
Indo Count Inds. 922,314 25.58 0.34
Pfizer 53,834 25.36 0.34
3M India 7,304 24.32 0.33
Digitide Solutio 1,425,304 13.87 0.19
ICICI AMC 20,000 6.58 0.09
Lancer Containe. 5,780,096 6.24 0.08
Larsen & Toubro 13,708 5.50 0.07
Rossell India 912,700 5.07 0.07
Mahindra Holiday 199,882 4.94 0.07
Life Insurance 53,528 4.27 0.06
TBILL-91D 29,000,000 288.54 3.86
TREPS 1,340,715 1,340.14 17.95
Net CA & Others 0 -1,324.31 -17.74
Quant Healthcare Fund - Direct (G) 14,478,240 23.22 0.31
Quant Gilt Fund - Direct (G) 499,975 0.61 0.01
MIDCPNIFTY 410,760 570.12 7.64
ICICI Bank 2,367,400 300.83 4.03
Kotak Mah. Bank 3,970,000 153.20 2.05
Reliance Industr 772,000 110.80 1.48
Aurobindo Pharma 754,050 105.30 1.41
Dixon Technolog. 64,700 72.69 0.97
RBL Bank 476,250 16.13 0.22
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