INF966L01267

CASPeR Ranking #148

Quant Absolute Fund Growth

Very High Risk Aggressive Allocation Allocation

NAV (Tue Jan 14 2025)

₹389

Returns (Since Inception)

10.61%

Category Average

11.50%

Rating

4

Allocation and Holdings

Asset class

Weightage

Energy

9.38%

Consumer Defensive

13.77%

Financial Services

18.18%

Utilities

10.31%

Industrials

5.21%

Unknown

4.44%

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Overall rating

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Scheme Information

Fund name

Quant Absolute Fund Growth


Minimum SIP

1000


Risk Level

Very High Risk


AUM

₹2115.36 Cr


ISIN

INF966L01267


Inception Date

Feb 19 2001


Standard Deviation

12.917


Beta

-


Sharpe Ratio

0.549


Benchmark

CRISIL Hybrid Aggressive TR INR


Expense Ratio

2.040%


Exit Load

For redemption / Switch out (including SIP/STP) within 15 days From the date of allotment of units irrespective of the amount of investment : 1%

Risk

Very High Risk

Investment Objective

The investments objective of the scheme is to generate income / capital appreciation by investing primarily in equity and equity related instruments with a moderate exposure to debt securities & money market instruments. There is no assurance that the investment objective of the Scheme will be realized.

Fund Managers

Sanjeev Sharma

Vasav Sahgal

Ankit A. Pande

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