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Fund Name
|
Ratings
|
Risk
|
3Y Returns
|
AUM
|
|
---|---|---|---|---|---|
Quant Quantamental Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
34.77% |
₹2,673.51 cr. |
||
Quant Quantamental Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
34.77% |
₹2,673.51 cr. |
||
Quant Quantamental Fund Equity Sectoral / Thematic |
Very High |
34.55% |
₹2,673.51 cr. |
||
Quant Small Cap Fund IDCW Direct Plan Payout Equity Small Cap Fund |
Very High |
34.13% |
₹24,529.77 cr. |
||
Quant Small Cap Fund IDCW Direct Plan Reinvestment Equity Small Cap Fund |
Very High |
34.13% |
₹24,529.77 cr. |
||
Quant Small Cap Fund Equity Small Cap Fund |
Very High |
34.12% |
₹24,529.77 cr. |
||
Quant Infrastructure Fund Equity Sectoral / Thematic |
Very High |
33.3% |
₹4,103.61 cr. |
||
Quant Infrastructure Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
33.28% |
₹4,103.61 cr. |
||
Quant Infrastructure Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
33.28% |
₹4,103.61 cr. |
||
Quant Mid Cap Fund Equity Mid Cap Fund |
Very High |
31.79% |
₹9,282.92 cr. |
||
Quant Mid Cap Fund IDCW Direct Plan Payout Equity Mid Cap Fund |
Very High |
31.56% |
₹9,282.92 cr. |
||
Quant Mid Cap Fund IDCW Direct Plan Reinvestment Equity Mid Cap Fund |
Very High |
31.56% |
₹9,282.92 cr. |
||
Quant ESG Equity Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
29.91% |
₹314.71 cr. |
||
Quant ESG Equity Fund Equity Sectoral / Thematic |
Very High |
29.83% |
₹314.71 cr. |
||
Quant ESG Equity Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
29.8% |
₹314.71 cr. |
||
Quant Large and Mid Cap Fund Equity Large & Mid Cap Fund |
Very High |
28.95% |
₹3,572.83 cr. |
||
Quant Large and Mid Cap Fund IDCW Direct Plan Payout Equity Large & Mid Cap Fund |
Very High |
28.91% |
₹3,572.83 cr. |
||
Quant Large and Mid Cap Fund IDCW Direct Plan Reinvestment Equity Large & Mid Cap Fund |
Very High |
28.91% |
₹3,572.83 cr. |
||
Quant Large and Mid Cap Fund Bonus Equity Large & Mid Cap Fund |
Very High |
26.97% |
₹3,572.83 cr. |
||
Quant Multi Asset Fund Hybrid Multi Asset Allocation |
Very High |
26.77% |
₹2,605.27 cr. |
||
Quant Multi Asset Fund IDCW Direct Plan Payout Hybrid Multi Asset Allocation |
Very High |
26.75% |
₹2,605.27 cr. |
||
Quant Multi Asset Fund IDCW Direct Plan Reinvestment Hybrid Multi Asset Allocation |
Very High |
26.75% |
₹2,605.27 cr. |
||
Quant ELSS Tax Saver Fund IDCW Direct Plan Payout Equity ELSS |
Very High |
26.66% |
₹11,065.42 cr. |
||
Quant ELSS Tax Saver Fund Equity ELSS |
Very High |
26.66% |
₹11,065.42 cr. |
||
Quant Flexi Cap Fund IDCW Direct Plan Payout Equity Flexi Cap Fund |
Very High |
25.85% |
₹7,435.74 cr. |
||
Quant Flexi Cap Fund IDCW Direct Plan Reinvestment Equity Flexi Cap Fund |
Very High |
25.85% |
₹7,435.74 cr. |
||
Quant Flexi Cap Fund Equity Flexi Cap Fund |
Very High |
25.79% |
₹7,435.74 cr. |
||
Quant Active Fund IDCW Direct Plan Payout Equity Multi Cap Fund |
Very High |
23.81% |
₹11,249.35 cr. |
||
Quant Active Fund IDCW Direct Plan Reinvestment Equity Multi Cap Fund |
Very High |
23.81% |
₹11,249.35 cr. |
||
Quant Active Fund Equity Multi Cap Fund |
Very High |
23.81% |
₹11,249.35 cr. |
||
Quant Focused Fund Equity Focused Fund |
Very High |
23.69% |
₹1,115.99 cr. |
||
Quant Focused Fund IDCW Direct Plan Payout Equity Focused Fund |
Very High |
23.59% |
₹1,115.99 cr. |
||
Quant Focused Fund IDCW Direct Plan Reinvestment Equity Focused Fund |
Very High |
23.59% |
₹1,115.99 cr. |
||
Quant Absolute Fund IDCW Direct Plan Payout Hybrid Aggressive Hybrid Fund |
Very High |
20.11% |
₹2,295.21 cr. |
||
Quant Absolute Fund IDCW Direct Plan Reinvestment Hybrid Aggressive Hybrid Fund |
Very High |
20.11% |
₹2,295.21 cr. |
||
Quant Absolute Fund Hybrid Aggressive Hybrid Fund |
Very High |
20.1% |
₹2,295.21 cr. |
||
Quant Liquid Fund Debt Liquid Fund |
Moderately Low |
6.1% |
₹2,600.85 cr. |
||
Quant Liquid Fund Monthly IDCW Direct Plan Payout Debt Liquid Fund |
Moderately Low |
5.92% |
₹2,600.85 cr. |
||
Quant Liquid Fund Monthly IDCW Direct Plan Reinvestment Debt Liquid Fund |
Moderately Low |
5.92% |
₹2,600.85 cr. |
||
Quant Manufacturing Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹1,014.28 cr. |
||
Quant Teck Fund Equity Sectoral / Thematic |
Very High |
0% |
₹452.65 cr. |
||
Quant Momentum Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹2,313.13 cr. |
||
Quant Commodities Fund Equity Sectoral / Thematic |
Very High |
0% |
₹446.58 cr. |
||
Quant Commodities Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹446.58 cr. |
||
Quant Consumption Fund Equity Sectoral / Thematic |
Very High |
0% |
₹327.40 cr. |
||
Quant Consumption Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹327.40 cr. |
||
Quant Manufacturing Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹1,014.28 cr. |
||
Quant PSU Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹1,065.78 cr. |
||
Quant Commodities Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹446.58 cr. |
||
Quant Consumption Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹327.40 cr. |
||
Quant PSU Fund Equity Sectoral / Thematic |
Very High |
0% |
₹1,065.78 cr. |
||
Quant Value Fund Equity Value Fund |
Very High |
0% |
₹2,086.60 cr. |
||
Quant Value Fund IDCW Direct Plan Payout Equity Value Fund |
Very High |
0% |
₹2,086.60 cr. |
||
Quant Value Fund IDCW Direct Plan Reinvestment Equity Value Fund |
Very High |
0% |
₹2,086.60 cr. |
||
Quant Large Cap Fund Equity Large Cap Fund |
Very High |
0% |
₹1,894.62 cr. |
||
Quant Large Cap Fund IDCW Direct Plan Payout Equity Large Cap Fund |
Very High |
0% |
₹1,894.62 cr. |
||
Quant PSU Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹1,065.78 cr. |
||
Quant Teck Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹452.65 cr. |
||
Quant Large Cap Fund IDCW Direct Plan Reinvestment Equity Large Cap Fund |
Very High |
0% |
₹1,894.62 cr. |
||
Quant Teck Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹452.65 cr. |
||
Quant Overnight Fund Debt Overnight Fund |
Low |
0% |
₹238.56 cr. |
||
Quant Overnight Fund IDCW Direct Plan Payout Debt Overnight Fund |
Low |
0% |
₹238.56 cr. |
||
Quant Momentum Fund Equity Sectoral / Thematic |
Very High |
0% |
₹2,313.13 cr. |
||
Quant Momentum Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹2,313.13 cr. |
||
Quant Overnight Fund IDCW Direct Plan Reinvestment Debt Overnight Fund |
Low |
0% |
₹238.56 cr. |
||
Quant Gilt Fund Debt Gilt Fund |
Moderate |
0% |
₹96.04 cr. |
||
Quant Gilt Fund IDCW Direct Plan Payout Debt Gilt Fund |
Moderate |
0% |
₹96.04 cr. |
||
Quant Gilt Fund IDCW Direct Plan Reinvestment Debt Gilt Fund |
Moderate |
0% |
₹96.04 cr. |
||
Quant Dynamic Asset Allocation Fund Hybrid Dynamic Asset Allocation or Balanced Advantage |
Very High |
0% |
₹1,334.25 cr. |
||
Quant Dynamic Asset Allocation Fund IDCW Direct Plan Payout Hybrid Dynamic Asset Allocation or Balanced Advantage |
Very High |
0% |
₹1,334.25 cr. |
||
Quant Dynamic Asset Allocation Fund IDCW Direct Plan Reinvestment Hybrid Dynamic Asset Allocation or Balanced Advantage |
Very High |
0% |
₹1,334.25 cr. |
||
Quant Business Cycle Fund Equity Sectoral / Thematic |
Very High |
0% |
₹1,509.10 cr. |
||
Quant Business Cycle Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹1,509.10 cr. |
||
Quant Business Cycle Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹1,509.10 cr. |
||
Quant BFSI Fund Equity Sectoral / Thematic |
Very High |
0% |
₹653.45 cr. |
||
Quant Bfsi Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹653.45 cr. |
||
Quant Bfsi Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹653.45 cr. |
||
Quant Healthcare Fund Equity Sectoral / Thematic |
Very High |
0% |
₹348.91 cr. |
||
Quant Healthcare Fund IDCW Direct Plan Payout Equity Sectoral / Thematic |
Very High |
0% |
₹348.91 cr. |
||
Quant Healthcare Fund IDCW Direct Plan Reinvestment Equity Sectoral / Thematic |
Very High |
0% |
₹348.91 cr. |
||
Quant Manufacturing Fund Equity Sectoral / Thematic |
Very High |
0% |
₹1,014.28 cr. |
In 2018, Quant Capital Finance & Investments Private Limited bought Escorts Mutual Fund and renamed it Quant Mutual Fund. Incorporated in 1996, Escorts Mutual Fund was one of the oldest fund houses in India. The company was started with mottos of ‘Being Relevant’ and ‘Predictive Analytics’. The idea behind ‘Being Relevant’ is to remain relevant in this volatile and dynamic world and to preserve and grow wealth. And in the case of ‘Predictive Analytics’, to understand and forecast markets across assets worldwide.
To stay relevant in the dynamic world, quant thrives on innovation. While machine learning, Artificial Intelligence (AI) and big data have been trending in recent times, quant has been using data analytical techniques for more than a decade. The company considers investment analytics as a part of its identity. They also closely monitor the behavioural data points of market participants and study the investor’s sentiments. The company believes that the market is a byproduct of sentiments, and along with their predictive analytics, they can connect the dots. They adopted the investment analytics approach from the beginning and developed a strong reputation for starting a behavioural finance approach in investing in India.
quant offers a wide range of products, including quant Absolute Fund, quant Large and Midcap Funds, quant Midcap Fund, quant Consumption Fund, quant Multi Asset Fund, quant Active Fund, quant Focused Fund, quant Smallcap Fund, quant Dynamic Bond Fund, quant Infrastructure Fund, quant Tax Plan, quant Money Market Fund, and quant Liquid Fund. With these products, quant wants to cover all the investors’ objectives and aim to meet the investors’ goals with their agile asset allocation strategies.
Founding date | April 15, 1996 |
AMC Incorporation date | December 12, 1995 |
Headquarters in | Mumbai |
Name of the sponsors | Quant Capital Finance and Investments Private Limited |
Trustee organisation | Quant Capital Trustee Limited |
MD and CEO | Sandeep Tandon |
Chief Investment Officer | Sandeep Tandon |
Compliance Officer | Drishti Shah |
SS
Sanjeev Sharma
Fund Manager since Dec 2022 (1 year)
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Sanjeev Sharma did his M.Com from Kurukshetra University. He worked at Cinevistaas Limited, BLS Group of Institutions, Escorts Mutual Fund, Tipsons Financial Services and PACE Group of Companies before joining quant Mutual Fund as a Fund Manager.
VS
Vasav Sahgal
Fund Manager since Feb 2017 (7 years)
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Mr. Sahgal has a B.Com. and a CFA degree. Earlier he worked at Eqestar Capital as an equity research analyst. He currently works as a fund manager under Quant Mutual Fund.
ST
Sandeep Tandon
Fund Manager since Oct 2023 (1 year)
View Details
Mr. Tandon has done his MBA (Finance). Before joining Quant Mutual Fund, he worked with ICICI Securities as Vice President, The Economic Times and IDBI AMC.
AP
Ankit A. Pande
Fund Manager since Jan 2024 (10 months)
View Details
Ankit A. Pande is a fund manager for the Quant Mutual Fund with over a decade of experience in equities. He holds a Bachelor's in Engineering from the University of Pune and an MBA from The Chinese University of Hong Kong, where he was on the Dean's List and is a CFA charterholder.
Investing in the quant Mutual Fund is a hassle-free process through your Angel One account. You just have to follow these steps:
Step 1: Log in to your Angel One account by entering your mobile number and validate the OTP. Next, enter your MPIN.
Note: In case you do not have an account with Angel One, you can open a demat account with us in under a few minutes by submitting the necessary documents.
Step 2: Determine which fund is most suited based on your needs and risk profile. You can learn more about each fund on the Angel One app. Things to consider at this stage are:
Step 3: Once you finalise the fund(s) you want to invest in, open your Angel One account, go to the Mutual Funds section, and look for it. Since this can be a long-term investment, be careful when choosing the fund that you would like to invest in.
Investing in Quant Mutual Fund through Angel One is a straightforward, fully digital process, ensuring a hassle-free investment journey. To initiate the KYC process, you’ll need to provide the following crucial documents:
Angel One simplifies the KYC verification, providing swift and efficient access to Quant Mutual Fund, whether you’re a new or returning investor. Our user-friendly platform makes your financial goals easily achievable. Your KYC process will be completed in just 48-72 business hours, allowing you to embark on your mutual fund journey promptly.
Name of the Fund | Sub Category | AUM (₹in crore) | Minimum Investment (₹) | CAGR 3Y (%) | CAGR 5Y (%) |
Quant Small Cap Fund | Small Cap Fund | 8,075.14 | 1,000 | 47.48 | 31.01 |
Quant Infrastructure Fund | Sectoral Fund – Infrastructure | 930.49 | 1,000 | 43.93 | 28.11 |
Quant Mid Cap Fund | Mid Cap Fund | 2,788.79 | 5,000 | 40.49 | 26.28 |
Quant Tax Plan | Equity Linked Savings Scheme (ELSS) | 4,605.77 | 500 | 36.11 | 26.83 |
Quant Flexi Cap Fund | Flexi Cap Fund | 1,908.69 | 5,000 | 33.98 | 24.9 |
Quant Active Fund | Multi Cap Fund | 5,688.18 | 1,000 | 33.53 | 25.14 |
Quant Large & Mid Cap Fund | Large & Mid Cap Fund | 1,032.93 | 5,000 | 30.13 | 19.43 |
Quant Multi Asset Fund | Multi Asset Allocation Fund | 978.39 | 5,000 | 28.69 | 23.08 |
Quant Focused Fund | Focused Fund | 367.36 | 1,000 | 28.43 | 17.69 |
Quant Absolute Fund | Aggressive Hybrid Fund | 1,335.07 | 1,000 | 27.77 | 21.53 |
**All data as of October 4, 2023.
Selection Criteria: The funds chosen have demonstrated the highest Compound Annual Growth Rate (CAGR) over the past 3 years.
This fund falls under the Small Cap category and manages assets worth ₹8,075.14 crore. It maintains a low expense ratio of 0.77%. Over the past 3 years, it has delivered a consistent CAGR of 47.48%. The minimum investment amount for this fund is ₹1,000. The fund predominantly invests in small-cap stocks, offering potential growth opportunities within this segment.
Categorised as a Sectoral Fund focusing on Infrastructure, this fund manages assets worth ₹930.49 crore with an expense ratio of 0.77%. Over the last 3 years, it has shown a CAGR of 43.93%. The minimum investment required for this fund is ₹1,000. The fund primarily invests in infrastructure-related companies, aiming to capitalise on growth within this sector.
This is a Mid Cap Fund with assets under management (AUM) of ₹2,788.79 crore and an expense ratio of 0.76%. It has delivered a CAGR of 40.49% over the past 3 years. The minimum investment amount for this fund is ₹5,000. The fund focuses on mid-cap stocks, offering a balance between growth potential and risk.
As an Equity Linked Savings Scheme (ELSS), this fund manages ₹4,605.77 crore in assets with an expense ratio of 0.76%. It has provided a CAGR of 36.11% over 3 years and requires a minimum investment of ₹500. The fund primarily invests in eligible equity instruments, providing tax benefits to investors.
Falling under the Flexi Cap category, this fund manages assets worth ₹1,908.69 crore with an expense ratio of 0.77%. It has displayed a CAGR of 33.98% over the last 3 years. The minimum investment for this fund is ₹5,000. It offers flexibility in choosing from a mix of different market cap stocks.
Categorised as a Multi Cap Fund, this fund manages assets worth ₹5,688.18 crore with an expense ratio of 0.77%. Over the past 3 years, it has provided a CAGR of 33.53%. The minimum investment amount for this fund is ₹1,000. The fund dynamically allocates across various market segments to optimise returns.
This Large & Mid Cap Fund manages ₹1,032.93 crore in assets with an expense ratio of 0.75%. It has demonstrated a CAGR of 30.13% over 3 years. The minimum investment required is ₹5,000. The fund balances investments between large and mid-cap stocks.
Falling under the Multi Asset Allocation category, this fund manages ₹978.39 crore in assets with an expense ratio of 0.68%. It has shown a CAGR of 28.69% over 3 years and requires a minimum investment of ₹5,000. The fund diversifies across various asset classes for balanced growth.
Categorised as a Focused Fund, it manages ₹367.36 crore in assets with an expense ratio of 0.76%. Over the last 3 years, it has delivered a CAGR of 28.43%. The minimum investment for this fund is ₹1,000. The fund focuses on a concentrated portfolio of select stocks.
This Aggressive Hybrid Fund handles ₹1,335.07 crore in assets with an expense ratio of 0.75%. It has provided a CAGR of 27.77% over 3 years and requires a minimum investment of ₹1,000. The fund follows an aggressive hybrid approach, blending equity and debt investments for potential returns.