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Summary Info
Fund Name Quant Mutual Fund
Scheme Name Quant Mid Cap Fund (G)
AMC Quant Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 12-Feb-01
Fund Manager Sandeep Tandon
Net Assets ()Cr 8,109.12
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 0.09 1.88 14.99 7.13 -0.76 14.78 15.57 13.01
Category Avg 1.86 4.84 13.42 1.58 3.49 15.39 14.16 13.70
Category Best 4.25 9.92 33.63 25.56 25.62 44.75 24.50 43.93
Category Worst -1.78 -2.95 -0.49 -12.21 -15.13 -1.66 2.39 -12.63
Holdings
Company Name No of Shares Market Value Hold %
Tata Comm 4,128,074 811.17 10.00
Aurobindo Pharma 5,367,895 765.68 9.44
Lloyds Metals 3,671,000 661.55 8.16
IRB Infra.Devl. 249,532,148 528.01 6.51
PB Fintech. 2,642,720 449.92 5.55
Premier Energies 3,707,427 393.36 4.85
Anthem Bioscienc 4,786,459 363.75 4.49
ICICI Bank 2,615,200 328.57 4.05
Linde India 429,640 309.53 3.82
Reliance Industr 2,138,653 282.56 3.48
LG Electronics 1,812,808 276.25 3.41
Nippon Life Ind. 2,489,865 273.93 3.38
JSW Infrast 6,610,919 182.00 2.24
Adani Energy Sol 1,067,179 161.50 1.99
Indus Towers 3,000,000 132.62 1.64
Lenskart Solut. 2,387,112 125.05 1.54
United Breweries 743,600 98.16 1.21
AWL Agri Busine. 4,962,457 95.43 1.18
Godrej Propert. 206,031 36.32 0.45
Persistent Syste 36,000 18.70 0.23
Torrent Pharma. 35,027 15.45 0.19
Oracle Fin.Serv. 13,164 13.12 0.16
TBILL-91D 32,000,000 317.34 3.91
TREPS 1,317,588 1,317.20 16.24
Net CA & Others 0 -1,287.97 -15.88
Indus Towers 8,739,700 390.05 4.81
B H E L 9,271,500 389.73 4.81
Adani Enterp. 696,795 206.63 2.55
Reliance Industr 1,319,000 175.41 2.16
Godrej Propert. 891,000 159.03 1.96
Dixon Technolog. 102,200 119.07 1.47
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