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Quant Aggressive Hybrid Fund (IDCW)

Low RIsk
NAV Details
54.96
' ()
NAV as on 02 Apr 2026
Fund Details
Fund Name
Quant Mutual Fund
Scheme
Quant Aggressive Hybrid Fund (IDCW)
AMC
Quant Money Managers Limited
Type
O
Increm. Investment (₹)
5000
Fund Manager
Sandeep Tandon
Category
Hybrid - Equity Oriented
Net Assets ( Cr.)
1990.39
Tax Benefits
Section 54EA
Lunch Date
2/19/2001 12:00:00 AM
Min. Investment (₹)
5000
Returns
Duration Fund Returns (%) Category Average (%) Category Best (%) Category Worst (%)
1 Week -1.25 -1.68 0.45 -2.78
1 Month -5.47 -6.21 -1.40 -9.11
6 Month -6.68 -4.81 8.67 -15.57
1 Year 2.68 2.37 20.98 -8.77
3 Year 11.23 11.98 23.33 3.03
5 Year 13.54 10.59 24.65 1.90
Since 15.03 10.16 30.87 -5.08
Asset Allocation
Equity - 97.5988%
Net Curr Ass/Net Receivables - -0.1129%
Reverse Repos - 2.514%
Equity - 97.12%
Mutual Funds Units - 0.32%
Net Curr Ass/Net Receivables - 0.57%
Reverse Repos - 1.99%
Certificate of Deposit - 4.04%
Commercial Paper - 7.09%
Equity - 76.4%
Mutual Funds Units - 4.07%
Net Curr Ass/Net Receivables - 1.58%
Reverse Repos - 6.56%
T-Bills - 0.26%
Certificate of Deposit - 4.04%
Commercial Paper - 7.09%
Equity - 76.4%
Mutual Funds Units - 4.07%
Net Curr Ass/Net Receivables - 1.58%
Reverse Repos - 6.56%
T-Bills - 0.26%
Equity - 93.86%
Net Curr Ass/Net Receivables - 0.73%
Reverse Repos - 2.99%
T-Bills - 2.42%
Equity - 66.26%
Mutual Funds Units - 10.17%
Net Curr Ass/Net Receivables - 1.2%
Reverse Repos - 22.3%
Certificate of Deposit - 1.2898%
Equity - 69.2566%
Govt Securities / Sovereign - 9.8356%
Net Curr Ass/Net Receivables - 0.7817%
Non Convertable Debenture - 8.3801%
Reverse Repos - 10.4561%
Certificate of Deposit - 3.0732%
Commercial Paper - 4.064%
Derivatives - -68.8799%
Equity - 68.57%
Mutual Funds Units - 11.5489%
Net Curr Ass/Net Receivables - 71.929%
Reverse Repos - 7.6704%
T-Bills - 2.0245%
Derivatives - 1.0046%
Equity - 95.1172%
Foreign Equity - 0.6259%
Net Curr Ass/Net Receivables - 0.3405%
Reverse Repos - 2.9118%
Equity - 95.2896%
Net Curr Ass/Net Receivables - 4.4778%
T-Bills - 0.2325%
Equity - 95.2896%
Net Curr Ass/Net Receivables - 4.4778%
T-Bills - 0.2325%
Equity - 98.23%
Mutual Funds Units - 0.12%
Net Curr Ass/Net Receivables - -0.06%
Reverse Repos - 1.71%
Equity - 98.23%
Mutual Funds Units - 0.12%
Net Curr Ass/Net Receivables - -0.06%
Reverse Repos - 1.71%
Equity - 99.8796%
Net Curr Ass/Net Receivables - -0.215%
Reverse Repos - 0.3354%
Equity - 97.18%
Net Curr Ass/Net Receivables - -0.08%
Preference Shares - 0.01%
Reverse Repos - 2.89%
Equity - 97.18%
Net Curr Ass/Net Receivables - -0.08%
Preference Shares - 0.01%
Reverse Repos - 2.89%
Certificate of Deposit - 8.89%
Commercial Paper - 0.84%
Corporate Debentures - 0.44%
Derivatives - -63.5637%
Equity - 62.5704%
Mutual Funds Units - 17.09%
Net Curr Ass/Net Receivables - 63.94%
Preference Shares - 0.02%
Reverse Repos - 9.52%
T-Bills - 0.22%
Net Curr Ass/Net Receivables - 0.4762%
Reverse Repos - 99.5238%
Net Curr Ass/Net Receivables - 0.4762%
Reverse Repos - 99.5238%
Foreign Equity - 99.8953%
Net Curr Ass/Net Receivables - 0.1043%
Equity - 98.05%
Net Curr Ass/Net Receivables - -0.09%
Reverse Repos - 2.04%
Derivatives - -1.5653%
Equity - 82.3931%
Net Curr Ass/Net Receivables - 1.8273%
Reverse Repos - 10.9086%
T-Bills - 6.4363%
Equity - 99.7187%
Mutual Funds Units - 0.0083%
Net Curr Ass/Net Receivables - -0.4619%
Reverse Repos - 0.7349%
Certificate of Deposit - 4.7873%
Derivatives - -12.0156%
Equity - 68.9545%
Govt Securities / Sovereign - 10.9617%
Mutual Funds Units - 0.3094%
Net Curr Ass/Net Receivables - 13.7528%
Reverse Repos - 6.1495%
T-Bills - 7.1005%
Top 5 Holdings
Company Name Hold (%) Value (Cr.)
HDFC Bank 9.23447 183.802
Adani Power 7.40185 147.3257
Bajaj Auto 7.17363 142.7833
Adani Green 6.47831 128.9436
Aurobindo Pharma 6.26024 124.6033
Peer Comparison
Fund Name 1 Month (%) 6 Month (%) 1 Year (%) 3 Year (%) 5 Year (%)
Kotak Multi Asset Allocation Fund - Direct (IDCW) -8.35 4.57 20.98 NA NA
Kotak Multi Asset Allocation Fund - Direct (G) -8.35 4.57 20.98 NA NA
Kotak Multi Asset Allocation Fund - Regular (IDCW) -8.44 3.94 19.47 NA NA
Kotak Multi Asset Allocation Fund - Regular (G) -8.44 3.94 19.46 NA NA
DSP Multi Asset Allocation Fund - Direct (G) -6.24 5.14 19.18 NA NA
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Contact Details
Tel No.
022-62955000
Fax
Address
6th Floor, Sea Breeze Building,Appasaheb Marathe Marg,Prabhadevi Mumbai - 400025
Registrar
KARVY FINTECH PVT LTD
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