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Quant Value Fund Growth

Quant Value Fund Growth

+23.77%
3Y annualised
+1.42% 1D
1M
6M
1Y
3Y
All
NAV: 19 Jun '26
?23.00
Min. for SIP
?1,000
Fund size (AUM)
?1,859.34 Cr
Expense ratio
2.14%
Rating
3

Return calculator

Monthly investment
?5,000
Over the pastTotal investmentWould've becomeHistoric returnsReturns
3 months?15,000?16,183
+7.89%
6 months?30,000?33,016
+10.05%
1 year?60,000?66,677
+11.13%
3 years?1,80,000?2,21,249
+22.92%

Holdings (41)

NameSectorInstrumentsAssets
RepoUnspecifiedRepo21.29%
Adani Enterprises LtdMaterialsEquity10.74%
Adani Green Energy LtdEnergy & UtilitiesEquity10.24%
DEWAN HOUSING FINANCE CORP. LTD. EQFinancialEquity8.87%
Adani Power LtdEnergy & UtilitiesEquity8.77%
Reliance Industries Ltd. 30-JUN-26Energy & UtilitiesFutures8.24%
HFCL LtdTechnologyEquity5.33%
ICICI Bank Ltd. 30-JUN-26FinancialFutures4.89%
Bharat Heavy Electricals Limited_30/06/2026IndustrialsFutures4.88%
Aurobindo Pharma LtdHealthcareEquity3.80%
LIC Housing Finance LtdFinancialEquity3.39%
HDFC Life Insurance Co LtdFinancialEquity3.27%
Tata Power Company LtdEnergy & UtilitiesEquity2.79%
Manappuram Finance LtdFinancialEquity2.56%
Exide Industries Ltd. 30-JUN-26Consumer DiscretionaryFutures2.41%
LIC Housing Finance Ltd. 30-JUN-26FinancialFutures2.18%
Zinka Logistics Solutions Ltd.IndustrialsEquity1.67%
Indus Towers Ltd. 30-JUN-26TechnologyFutures1.59%
Sun TV Network LtdConsumer DiscretionaryEquity1.56%
NCC LtdIndustrialsEquity1.40%
HDFC Life Insurance Company Ltd. 30-JUN-26FinancialFutures1.39%
Mangalam Cement LtdMaterialsEquity1.29%
Man Infraconstruction LtdIndustrialsEquity1.08%
Aditya Birla Lifestyle Brands LtdConsumer DiscretionaryEquity0.96%
Kovai Medical Center & Hospital LtdHealthcareEquity0.89%
Capacite Infraprojects LtdIndustrialsEquity0.85%
Tech Mahindra LtdTechnologyEquity0.83%
GOVERNMENT OF INDIA 37410 091 DAYS TBILL 30JL26 FV RS 100FinancialTreasury Bills0.75%
GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100FinancialTreasury Bills0.75%
GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100FinancialTreasury Bills0.74%
GOVERNMENT OF INDIA 37448 091 DAYS TBILL 20AG26 FV RS 100FinancialTreasury Bills0.74%
GOVERNMENT OF INDIA 37456 091 DAYS TBILL 28AG26 FV RS 100FinancialTreasury Bills0.74%
Digitide Solutions LtdIndustrialsEquity0.69%
GOVERNMENT OF INDIA 37175 091 DAYS TBILL 04JU26 FV RS 100FinancialTreasury Bills0.64%
GOVERNMENT OF INDIA 37184 091 DAYS TBILL 11JU26 FV RS 100FinancialTreasury Bills0.64%
GOVERNMENT OF INDIA 37370 091 DAYS TBILL 16JL26 FV RS 100FinancialTreasury Bills0.64%
GOVERNMENT OF INDIA 37391 091 DAYS TBILL 23JL26 FV RS 100FinancialTreasury Bills0.64%
NBCC India LtdIndustrialsEquity0.60%
Gujarat Themis Biosyn LtdHealthcareEquity0.56%
Capri Global Capital LtdFinancialEquity0.48%
Net PayablesUnspecifiedNet Payables-25.78%
See All

Minimum investments

Min. for 1st investment
?5,000
Min. for 2nd investment
?1,000
Min. for SIP
?1,000

Returns and rankings

Annualised returns
Absolute returns
Name6M1Y3YAll
Fund returns+16.9%+19.4%+23.8%+19.7%
Category average (Equity Value Oriented)+2.6%+4.8%+19.2%--
Rank (Equity Value Oriented)--74--

Exit load, stamp duty and tax

Exit load

Exit load of 1%, if redeemed within 15 days.

Stamp duty on investment: 0.005% (from July 1st, 2020)

from July 1st 2020

Tax implication

If you redeem within one year, returns are taxed at 20%. If you redeem after one year, returns exceeding Rs 1.25 lakh in a financial year are taxed at 12.5%.
Check past data

Fund management

About Quant Value Fund Growth

Quant Value Fund Growth is a Equity Mutual Fund Scheme launched by Quant Mutual Fund. This scheme was made available to investors on 15 Apr 1996. Ayusha Kumbhat is the Current Fund Manager of Quant Value Fund Growth fund. The fund currently has an Asset Under Management(AUM) of ?98,266 Cr and the Latest NAV as of 19 Jun 2026 is ?23.00. The Quant Value Fund Growth is rated Very High risk. Minimum SIP Investment is set to ?1,000. Minimum Lumpsum Investment is ?5,000. Exit load of 1%, if redeemed within 15 days. ;

Investment Objective

The scheme seeks to achieve capital appreciation in the long-term by primarily investing in a welldiversified portfolio of value stocks. The AMC will have the discretion to completely or partially invest in any of the type of securities stated above with a view to maximize the returns or on defensive considerations.;
Fund benchmarkNIFTY 500 Total Return Index

Fund house

Rank (total assets)#34 in India
Total AUM?98,266.19 Cr
Date of Incorporation15 Apr 1996
Phone022-62955000
E-mail--
Launch Date15 Apr 1996
Address6th Floor, Sea Breeze Building,Appa Saheb Marathe Marg,Prabhadevi, Mumbai 400025
CustodianHDFC Bank
Registrar & Transfer AgentKFin Tech
AddressKarvy House, No. 46, 8-2-609/K, Avenue 4, Street No.1 Banjara Hills,

銀行貸款 小額借貸 線上貸款 汽車貸款 手機貸 瘋正妹 橘子影城 古蹟交流社 東森新聞手機板 東森新聞 港書館 super娛樂城 金鈦城娛樂城 信用版娛樂城 贏家娛樂城 WG娛樂城

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