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Sectoral / Thematicregulargrowth📊 NIFTY100 ESG TRI

quant ESG Integration Strategy Fund - Growth Option - Regular Plan

quant Mutual Fund

#54 of 213 (1Y)

₹37.4208

0.06 (-0.16%)

NAV as of 29 May 2026

Today's NAV — all variants

Regular · Growth

₹₹37.4208

0.06 (-0.16%)

29 May 2026

AMFI: 148560

Direct · Growth

₹₹40.7767

0.06 (-0.15%)

29 May 2026

AMFI: 148564

Regular · IDCW

₹₹37.2390

0.06 (-0.16%)

29 May 2026

AMFI: 148561

Direct · IDCW

₹₹40.7254

0.06 (-0.15%)

29 May 2026

AMFI: 148563

Returns (Lumpsum)

CAGR for periods ≥ 1 year
1 Week-0.52%
1 Month+8.24%
3 Months+7.59%
6 Months+3.38%
1 Year+8.73%
3 Years (CAGR)+18.26%
5 Years (CAGR)+19.06%
10 Years (CAGR)
Since Inception (Nov 2020)+25.65%

SIP Returns (XIRR)

₹1,000/month SIP, annualised
1 Year SIP+17.40%
3 Year SIP+10.81%
5 Year SIP+14.70%
Since Inception (Nov 2020)+16.69%

SIP since inception — what ₹500/month became

Real NAV backtest from day one

₹33,000

Invested

₹54,401

Value today

18.2%

XIRR (p.a.)

500/month SIP from fund inception · Current value as of today

Try SIP Calculator with this fund's history

1,000 lumpsum at launch — value today

Invested on the fund's first NAV date

₹1,000

Invested

₹3,742

Value today

26.8%

CAGR (p.a.)

One-time investment at fund inception · Growth purely from NAV appreciation

Try Lumpsum Calculator

₹10L corpus with ₹5,000/month withdrawals since inception

Corpus is still growing despite monthly payouts

₹10,00,000

Initial corpus

₹3,30,000

Withdrawn

₹31,98,067

Corpus left

+₹25,28,067 net gain — withdrew ₹3,30,000 AND corpus grew

Plan your SWP with real NAV

₹6L corpus via 12-month STP from a liquid fund at inception

₹50K/month transferred from HDFC Liquid → this fund at launch

₹6,00,000

Invested

₹15,79,790

Value today

-29.6%

vs lumpsum

Direct lumpsum would have beaten STP by 29.6% — but STP reduced timing risk

Model your own STP with real NAV

Beat the benchmark — ₹500/month SIP

Same SIP in this fund vs the benchmark index

This fund

₹54,401

Benchmark

₹44,953

+₹9,448 extra wealth vs the benchmark index

Backtest this SIP yourself

₹1 lakh on the worst crash day — 03 Jun 2024

Worst single-day Nifty drop during this fund's life

₹1,00,000

Invested

₹1,10,953

Value today

1.1×

Multiple

Staying invested through that crash turned ₹1L into ₹1,10,953 — a 1.1× return

Read: Staying invested through crashes

Direct vs Regular — ₹500/month over 5 years

Expense ratio drag on your actual returns

Direct plan

₹48,933

Regular plan

₹46,687

Direct earns ₹2,246 more on a ₹30K investment1.50% extra return per year

Same fund, same NAV history — only the expense ratio differs. Direct plans always outperform Regular over time.

Learn about Direct vs Regular plans

Fund Details

Fund Housequant Mutual Fund
CategorySectoral / Thematic
Plan Typeregular
Optiongrowth
AUM₹253 Cr
Expense Ratio2.44%
Min SIP₹500
Min Lumpsum₹1,000
BenchmarkNIFTY100 ESG TRI ✓
Launch Date05 Nov 2020
AMFI Code148560

Risk Metrics

Trailing 1 year, annualised

-0.10

Sharpe Ratio

+0.02

Alpha

0.49

Beta

-0.09

Sortino

17.37%

Std Dev

-18.92%

Max Drawdown

Portfolio Holdings

Top 30 holdings · as of Apr 2026

Equity14 holdings · 72.9%
Security% NAV

Adani Enterprises Limited

INE423A01024

9.38%

Adani Green Energy Limited

INE364U01010

9.01%

Piramal Finance Ltd

INE202B01038

8.68%

HFCL Limited

INE548A01028

8.26%

Aurobindo Pharma Limited

INE406A01037

5.86%

Capri Global Capital Limited

INE180C01042

5.58%

Nippon Life India Asset Management Ltd

INE298J01013

5.06%

ICICI Prudential Life Insurance Co Ltd

INE726G01019

4.50%

BLACKBUCK LIMITED

INE0UIZ01018

3.69%

Kotak Mahindra Bank Limited

INE237A01036

3.66%

HDFC Life Insurance Co Ltd

INE795G01014

3.54%

Black Box Limited

INE676A01027

2.99%

Sequent Scientific Limited

INE807F01027

1.69%

Safari Industries (India) Limited

INE429E01023

1.01%
Debt8 holdings · 6.0%
Security% NAV

91 Days Treasury Bill 07-May-2026

IN002025X448

0.76%

91 Days Treasury Bill 14-May-2026

IN002025X455

0.76%

91 Days Treasury Bill 22-May-2026

IN002025X463

0.75%

91 Days Treasury Bill 04-Jun-2026

IN002025X489

0.75%

91 Days Treasury Bill 11-Jun-2026

IN002025X497

0.75%

91 Days Treasury Bill 19-Jun-2026

IN002025X505

0.75%

91 Days Treasury Bill 16-Jul-2026

IN002026X024

0.75%

91 Days Treasury Bill 23-Jul-2026

IN002026X032

0.75%
Derivatives7 holdings · 20.4%
Security% NAV

PB Fintech Limited 26/05/2026

POLICYBZR260526

7.87%

Reliance Industries Limited 26/05/2026

RELIANCE260526

4.99%

Kotak Mahindra Bank Limited 26/05/2026

KOTAKBANK260526

4.70%

HDFC Life Insurance Co Ltd 26/05/2026

HDFCLIFE260526

3.90%

ICICI Bank Limited 26/05/2026

ICICIBANK260526

3.20%

Bharat Heavy Electricals Ltd 26/05/2026

BHEL260526

1.51%

Aurobindo Pharma Limited 26/05/2026

AUROPHARMA260526

-5.75%
Other1 holding · -19.8%
Security% NAV

NCA-NET CURRENT ASSETS

-19.85%

Performance Comparison

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Investment Objective

quant ESG Integration Strategy Fund - Growth Option - Regular Plan invests in stocks from a specific sector or theme, offering concentrated exposure to a particular area of the economy. These funds carry sector-specific risks but can deliver significant returns when the underlying sector performs well.

About This Fund

quant ESG Integration Strategy Fund - Growth Option - Regular Plan is a Sectoral / Thematic mutual fund offered by quant Mutual Fund. The fund has been operational for over 5 years. It manages assets worth ₹253 Cr, reflecting investor confidence in the fund's strategy. It benchmarks its performance against NIFTY100 ESG TRI. The current expense ratio is 2.44%.

Who Should Invest?

  • Investors with a high risk appetite seeking long-term wealth creation
  • Investors with an investment horizon of 5 years or more
  • SIP investors who can benefit from rupee cost averaging during market fluctuations