Quant

Quant Mutual Fund

Check list of all schemes, latest NAV, Returns and other important information

  • Total Funds 58
  • Average annual returns 16.65%

About Quant Mutual Fund

Quant Mutual Fund was established in 2018, through the acquisition of this Mutual Fund house that began in 1995 and is widely regarded as an industry pioneer. The funds are now managed by Quant Money Managers Limited (QMML), with support from Capital Finance & Investments Pvt. Ltd. With 26 distinguished plans, Escorts Mutual Fund offers to a wide range of investors.

Among these, 20 are Equity schemes, 3 are Debt Schemes, and 3 are hybrid schemes. Quant asset management company holds the 20th position among its other AMCs. The Quant Mid Cap Fund, the flagship scheme, has exhibited an impressive average annualized return of 14.19% since its inception.

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Top Performing Quant Mutual Fund in India for High Return

Asset Type

  • Equity
  • Commodities
  • Debt
  • Solution Oriented
  • Hybrid
  • Others

Category Type

  • Large Cap
  • Mid Cap
  • Small Cap
  • Flexi Cap
  • Index Fund
  • Large and Mid Cap
  • Multi Cap
  • ELSS
  • Banking & Financial
  • IT & Technology
  • Pharma & Healthcare
  • Infrastructure
  • FMCG
  • Focused
  • Value
  • Contra
  • Consumption Theme
  • Energy Sector
  • PSU Themes
  • MNC Themes
  • Others Sector
  • Other Themes
  • Dividend Yield
  • International Funds
  • Thematic-Infrastructure
  • Close ended equity scheme
  • ETFs
  • Manufacturing
  • Thematic Transportation
  • Overnight
  • Liquid
  • Ultra Short Duration
  • Low Duration
  • Money Market
  • Short Duration
  • Dynamic Bond
  • Corporate Bond
  • Medium Duration
  • Medium to Long Duration
  • Long Duration
  • Gilt
  • 10 yrs Gilt Fund
  • Credit Risk
  • Banking and PSU
  • Floater
  • FMP
  • Aggressive
  • Balanced Hybrid
  • Conservative
  • Equity Savings
  • Dynamic Asset Allocation
  • Multi Asset Allocation
  • Arbitrage Funds
  • Gold
  • Silver
  • Retirement Funds
  • Childrens Funds
  • Domestic Equity FoF
  • Domestic Deb FoF
  • Domestic Hybrid FoF
  • Domestic FoF
  • International FoF

Minimum SIP Amt.

  • ₹100 - ₹500
  • ₹500 - ₹1000
  • ₹1000 - ₹5000

Fund Option

  • Growth
  • Dividend
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Snapshot

Returns

Risk

Information

NAV Details

Compare Funds

Lumpsum 3Y P.a 27.22%
SIP 3Y P.a. 35.24%
Return Vs Category

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Risk Vs Category

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Lumpsum 3Y P.a 26.11%
SIP 3Y P.a. 29.23%
Return Vs Category

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Risk Vs Category

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Lumpsum 3Y P.a 26.08%
SIP 3Y P.a. -
Return Vs Category

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Risk Vs Category

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Lumpsum 3Y P.a 23.42%
SIP 3Y P.a. 30.54%
Return Vs Category

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Risk Vs Category

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Lumpsum 3Y P.a 23.28%
SIP 3Y P.a. 27.57%
Return Vs Category

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Risk Vs Category

Average icon

Invest

Lumpsum 3Y P.a 21.09%
SIP 3Y P.a. 26.25%
Return Vs Category

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Risk Vs Category

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Invest

Lumpsum 3Y P.a 20.77%
SIP 3Y P.a. 25.21%
Return Vs Category

High icon

Risk Vs Category

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Invest

Lumpsum 3Y P.a 20.22%
SIP 3Y P.a. 25.92%
Return Vs Category

High icon

Risk Vs Category

Low icon

Invest

Lumpsum 3Y P.a 19.2%
SIP 3Y P.a. 24.83%
Return Vs Category

High icon

Risk Vs Category

Low icon

Invest

Lumpsum 3Y P.a 17.98%
SIP 3Y P.a. 22.44%
Return Vs Category

Medium icon

Risk Vs Category

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Invest

Short Term

Long Term

SIP

Rolling Term

1 Week 0.33%
1 Month 0.86%
3 Months -3.34%
6 Months 5.21%
1 Year 34.05%
Invest
1 Week 0.33%
1 Month -0.47%
3 Months -7.91%
6 Months -5.54%
1 Year 26.18%
Invest
1 Week 0.6%
1 Month 1.8%
3 Months -5.27%
6 Months 1.35%
1 Year 35.88%
Invest
1 Week 1.73%
1 Month 1.48%
3 Months -3.53%
6 Months -4.2%
1 Year 34.76%
Invest
1 Week 1.21%
1 Month 0.74%
3 Months -6.69%
6 Months -5.18%
1 Year 26%
Invest
1 Week 0.7%
1 Month 1.98%
3 Months -0.64%
6 Months 4.77%
1 Year 32.42%
Invest
1 Week -1.25%
1 Month -1.67%
3 Months -9.12%
6 Months 0.27%
1 Year 27.12%
Invest
1 Week 0.4%
1 Month -0.55%
3 Months -7.31%
6 Months -4.43%
1 Year 26.43%
Invest
1 Week 0.73%
1 Month -1.39%
3 Months -8.28%
6 Months -3.93%
1 Year 26.13%
Invest
1 Week -0.59%
1 Month -2.63%
3 Months -8.32%
6 Months -6.05%
1 Year 20.15%
Invest
2 Years 35.95%
3 Years 27.22%
5 Years 46.47%
Annual Rt 13.67%
Invest
2 Years 27.22%
3 Years 26.11%
5 Years -
Annual Rt 31.94%
Invest
2 Years 31.16%
3 Years 26.08%
5 Years -
Annual Rt 32.68%
Invest
2 Years 27.1%
3 Years 23.42%
5 Years 35.34%
Annual Rt 8.88%
Invest
2 Years 25.59%
3 Years 23.28%
5 Years 32.48%
Annual Rt 14.6%
Invest
2 Years 24.17%
3 Years 21.09%
5 Years 27.91%
Annual Rt 11.67%
Invest
2 Years 21.85%
3 Years 20.77%
5 Years -
Annual Rt 41.44%
Invest
2 Years 23.55%
3 Years 20.22%
5 Years 25.75%
Annual Rt 15.45%
Invest
2 Years 22.38%
3 Years 19.2%
5 Years 31.88%
Annual Rt 16.15%
Invest
2 Years 19.21%
3 Years 17.98%
5 Years 31.1%
Annual Rt 16.35%
Invest
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Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.6%
Fund Manager Sanjeev Sharma
Launch Date 30-Oct 1996
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.96%
Fund Manager Sanjeev Sharma
Launch Date 20-Apr 2021
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 2%
Fund Manager Sanjeev Sharma
Launch Date 30-Nov 2021
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.89%
Fund Manager Vasav Sahgal
Launch Date 21-Sep 2007
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.73%
Fund Manager Sanjeev Sharma
Launch Date 21-Mar 2001
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.88%
Fund Manager Sanjeev Sharma
Launch Date 18-Apr 2001
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 2.39%
Fund Manager Sanjeev Sharma
Launch Date 05-Nov 2020
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.88%
Fund Manager Sanjeev Sharma
Launch Date 09-Jan 2007
Invest
Min SIP ₹1000
Min Lumpsum ₹5000
Expense Ratio 1.76%
Fund Manager Sanjeev Sharma
Launch Date 20-Oct 2008
Invest
Min SIP ₹500
Min Lumpsum ₹500
Expense Ratio 1.72%
Fund Manager Vasav Sahgal
Launch Date 31-Mar 2000
Invest