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Summary Info
Fund Name Quant Mutual Fund
Scheme Name Quant Aggressive Hybrid Fund (G)
AMC Quant Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 19-Feb-01
Fund Manager Sandeep Tandon
Net Assets ()Cr 2,024.48
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 -1.83 3.34 2.13 0.69 7.62 13.76 13.06 16.25
Category Avg -1.23 -0.03 -3.91 -2.98 3.15 12.12 11.37 11.11
Category Best 0.69 6.32 4.62 7.89 25.33 24.97 26.47 33.05
Category Worst -2.54 -2.29 -11.46 -12.22 -8.56 3.01 3.28 -1.83
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 1,428,185 180.44 8.91
Adani Green 1,451,468 178.12 8.80
Reliance Industr 1,092,264 156.28 7.72
Adani Power 6,902,987 153.14 7.56
Aurobindo Pharma 1,021,004 141.87 7.01
Tech Mahindra 838,141 123.50 6.10
Adani Enterp. 475,969 114.63 5.66
ICICI AMC 293,465 96.56 4.77
HDFC Life Insur. 1,547,000 90.79 4.48
Samvardh. Mothe. 6,937,230 84.09 4.15
Varun Beverages 852,331 43.78 2.16
S A I L 2,270,276 41.91 2.07
Bharat Electron 944,975 40.76 2.01
Maharashtra 2035 5,000,000 48.50 2.40
GSEC2034 3,500,000 34.42 1.70
GSEC2065 2,500,000 22.66 1.12
GSEC2033 2,000,000 20.28 1.00
GSEC2035 1,833,600 17.80 0.88
GSEC2028 1,860,800 16.52 0.82
GSEC2033 1,000,000 10.17 0.50
GSEC2026 400,000 4.00 0.20
TBILL-364D 14,700,000 142.57 7.04
TREPS 74,118 74.09 3.66
Capri Global 5,000,000 48.94 2.42
Net CA & Others 0 7.36 0.36
Quant Gilt Fund - Direct (G) 4,999,750 6.12 0.30
S I D B I 10,000,000 96.37 4.76
Tech Mahindra 127,800 18.85 0.93
RaajMarg Infra 900,000 9.95 0.49
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