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quant Mutual Fund

Every open-ended quant scheme in AMFI's daily NAV file (Direct plan, growth option), grouped by category, with each scheme's returns and risk next to its category median. NAV data as of 2 Oct 2026.

Schemes
30
Categories
19
Equity / Hybrid / Debt
21 / 5 / 3
3Y CAGR above category median
17 of 23
AUM of the schemes listed (AMFI)
₹1.03 lakh cr
Median TER (Direct plans)
1.43%
quant schemes by category Direct plans · alphabetical within each category
SchemeAUM (₹ cr)TER1Y3Y CAGRCategory 3Y median5Y CAGRCategory 5Y median3Y rolling medianMax DD 5YHistory
ELSS · 1 scheme · 38 in category
Quant ELSS Tax Saver Fund13,0871.22%8.6%13.8%10.0%14.5%10.2%21.5%−25.8%13.7 y
Flexi Cap · 1 scheme · 46 in category
Quant Flexi Cap Fund7,3091.07%7.9%14.1%11.0%13.7%10.1%19.4%−24.7%13.7 y
Focused · 1 scheme · 28 in category
Quant Focused Fund8261.87%7.0%12.6%11.1%12.9%10.8%18.5%−24.0%13.7 y
Large & Mid Cap · 1 scheme · 36 in category
Quant Large & Mid Cap Fund3,3841.21%8.1%13.6%11.9%14.9%11.5%20.9%−24.1%13.7 y
Large Cap · 1 scheme · 34 in category
quant Large Cap Fund3,6951.46%3.4%12.5%8.9%n/a8.3%16.3%n/a4.1 y
Mid Cap · 1 scheme · 33 in category
Quant Mid Cap Fund7,6691.16%3.6%9.5%15.3%14.9%14.3%14.5%−26.0%13.7 y
Multi Cap · 1 scheme · 32 in category
Quant Multi Cap Fund7,4981.02%5.0%9.1%13.3%11.0%12.9%17.6%−25.3%13.7 y
Sectoral/Thematic · 12 schemes · 253 in category
quant BFSI Fund9002.00%11.1%20.0%13.0%n/a12.0%24.4%n/a3.3 y
quant Business Cycle Fund9331.42%3.4%10.7%13.0%n/a12.0%16.1%n/a3.3 y
quant Commodities Fund3341.72%7.7%n/a13.0%n/a12.0%n/an/a2.8 y
quant Consumption Fund1811.78%1.9%n/a13.0%n/a12.0%n/an/a2.7 y
quant ESG Integration Strategy Fund3291.79%19.1%16.3%13.0%17.5%12.0%21.1%−25.1%5.9 y
quant Healthcare Fund4311.56%18.7%20.2%13.0%n/a12.0%21.6%n/a3.2 y
Quant Infrastructure Fund3,0601.08%6.4%16.4%13.0%16.9%12.0%18.7%−27.1%13.7 y
quant Manufacturing Fund7181.44%11.2%15.4%13.0%n/a12.0%17.3%n/a3.1 y
quant Momentum Fund1,2721.78%6.5%n/a13.0%n/a12.0%n/an/a2.9 y
quant PSU Fund4022.16%-1.1%n/a13.0%n/a12.0%n/an/a2.6 y
quant Quantamental Fund1,5561.55%5.9%14.2%13.0%18.3%12.0%23.4%−23.3%5.4 y
quant Teck Fund2422.28%-8.7%3.1%13.0%n/a12.0%n/an/a3.1 y
Small Cap · 1 scheme · 36 in category
Quant Small Cap Fund35,3910.90%13.5%17.0%14.7%18.7%15.3%18.5%−25.2%13.7 y
Value · 1 scheme · 23 in category
Quant Value Fund1,9120.90%11.7%19.3%11.2%n/a12.2%23.4%n/a4.8 y
Aggressive Hybrid · 1 scheme · 31 in category
Quant Aggressive Hybrid Fund2,1141.42%5.8%12.5%10.1%12.2%9.1%16.2%−18.6%13.7 y
Arbitrage · 1 scheme · 39 in category
quant Arbitrage Fund1,0041.60%7.6%n/a7.3%n/a6.7%n/an/a1.5 y
Balanced Advantage · 1 scheme · 37 in category
quant Dynamic Asset Allocation Fund8101.54%-2.2%12.1%8.8%n/a8.4%16.6%n/a3.5 y
Equity Savings · 1 scheme · 24 in category
quant Equity Savings Fund602.03%8.1%n/a8.1%n/a7.4%n/an/a1.2 y
Multi Asset Allocation · 1 scheme · 37 in category
Quant Multi Asset Allocation Fund6,6211.13%12.9%21.4%14.0%19.0%12.7%18.9%−15.9%13.7 y
Gilt · 1 scheme · 24 in category
quant Gilt Fund730.41%2.9%5.7%6.2%n/a5.6%6.3%n/a3.8 y
Liquid · 1 scheme · 44 in category
Quant Liquid Fund1,1490.31%6.1%6.8%6.9%6.3%6.4%6.9%0.0%13.7 y
Overnight · 1 scheme · 40 in category
quant Overnight Fund540.19%5.1%6.1%6.1%n/a5.7%6.4%n/a3.8 y
Domestic FoF · 1 scheme · 154 in category
quant Income Plus Arbitrage Active FOF550.36%n/an/a12.5%n/a10.2%n/an/a0.1 y

Category medians use all Direct plans in the same AMFI category across fund houses. Returns are from NAVs, after expenses and before tax; 3Y and 5Y are annualised. A fund house's schemes differ in mandate and history, so counts above or below a median are descriptive, not a rating. AUM (whole scheme, all plans) and TER (plan shown) are as disclosed to AMFI. "n/a" means the history is too short or still loading.

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Data & disclosure. Source: AMFI daily NAV file and historical NAVs via mfapi.in; calculations by MFIC. Data as of 2 Oct 2026. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance may or may not be sustained in future. This page is for research and education only and is not investment advice or a recommendation. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155).