Quant Teck Fund - Growth - Direct Plan : Latest NAV, Performance & Returns

MUTUAL FUND SCHEME SNAPSHOT

Growth|Quant Mutual Fund

Quant Teck Fund - Growth - Direct Plan

19 Jun 2025
13.0321
-0.1349
(-1.02%)
  • YTD Return
    -0.1349
  • Expense Ratio
    0.82
  • Turnover Ratio
    0.00
  • Inception Date
    11 Sep 2023
  • Std Deviation
    1.3414
  • 52 W High
    14.3162
  • 52 W Low
    10.8474
Performance Chart ADVANCED CHARTING >>
AUM Movements
Assets size in Rs. (Cr.)
Min :
Max
Scheme Performance (as on 19 Jun 2025)
1M 3M 6M 1Y 3Y 5Y SINCE
INCEPTION
Quant Teck Fund - Growth - Direct Plan 2.14 12.27 -7.23 -0.17 0.00 0.00 16.11
NIFTY 50 - TRI (BENCHMARK) -1.59 1.55 5.93 20.68 8.39 13.50 13.95
*Note, Benchmark returns below 1 Year is absolute returns and above one year is on CAGR basis.
Scheme Portfolio
AMC Details
AMC Name
Quant Mutual Fund
Fund Manager
Sandeep Tandon, Ankit Pande
Regd. office
6th Floor, Sea Breeze Building,Appa Saheb Marathe Marg, Prabhadevi,Mumbai - 400025
Telephone No.
022-6295 5000
Fax No.
022-6295 5000
Email ID.

Market Today

25020.85 227.60 (0.92 %)

FAQ

What is the Expense Ratio of Quant Teck Fund - Growth - Direct Plan

The Expense ratio of Quant Teck Fund - Growth - Direct Plan is 0.82

What is the Turn Over Ratio of Quant Teck Fund - Growth - Direct Plan

The turnover ratio of Quant Teck Fund - Growth - Direct Plan is 0.00

What is the Inception date of Quant Teck Fund - Growth - Direct Plan

Quant Teck Fund - Growth - Direct Plan started on 11 Sep 2023

What is the Standard Deviation of Quant Teck Fund - Growth - Direct Plan

The standard deviation of Quant Teck Fund - Growth - Direct Plan is 1.3414

What is the 52 Week High of Quant Teck Fund - Growth - Direct Plan

The 52-week high of Quant Teck Fund - Growth - Direct Plan is 14.3162

What is the 52 Week Low of Quant Teck Fund - Growth - Direct Plan

The 52-week low of Quant Teck Fund - Growth - Direct Plan is 10.8474

What is the NAV Of Quant Teck Fund - Growth - Direct Plan

The NAV of Quant Teck Fund - Growth - Direct Plan is 13.0321