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Multi Asset / Dynamic📊 15%CRISIL Short Term Bond Index + 65%BSE200 +20%iCOMDEX Composite Index

quant Multi Asset Allocation Fund · Regular · Growth

quant Mutual Fund

#2 of 29 (1Y)

NAV

₹168.3604

as of 31 Jul 2026

Expense Ratio

1.75%

AUM

₹5,437 Cr

Viewing Regular · Growth
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Lumpsum returns (CAGR)

1Y
+19.12%
3Y
+20.96%
5Y
+18.08%
Since Inception
+12.80%

SIP returns (XIRR)

1Y
+16.46%
3Y
+17.52%
5Y
+18.97%
Since Inception
+14.05%

Returns calculated from 21 April 2004 onwards due to a structural change in the scheme on that date. Earlier NAV history is preserved but excluded from multi-year return calculations. Periods spanning this date show —.

What history actually did — last 10 years (Aug 2016 – Jul 2026)

A ₹5,000 monthly SIP for the last 10 years (Aug 2016 – Jul 2026)

Real NAV backtest

A ₹5,000 monthly SIP would be worth ₹17,82,395 today ₹5,95,000 invested, 21.1% XIRR.

₹5,95,000

Invested

₹17,82,395

Value today

21.1%

XIRR (p.a.)

Try the SIP calculator with this fund

A ₹1,00,000 lumpsum, the last 10 years (Aug 2016 – Jul 2026)

Real NAV backtest

₹1,00,000 invested 10 years ago would be ₹5,22,338 today (18.0% CAGR).

A regular withdrawal plan (SWP)

Real NAV backtest

A ₹10,00,000 corpus withdrawing ₹5,000/month since Aug 2016 would still hold ₹34,40,982.

Buying the worst day

Real NAV backtest

₹1,00,000 invested on the worst market day of the last 10 years (Aug 2016 – Jul 2026) (22 Mar 2020) would be ₹6,01,637 today (6.02×).

Historical simulation using actual published NAVs for the stated period. Past performance may or may not be sustained in the future. Not investment advice.

Risk Metrics

Trailing 1 year, annualised

1.10

Sharpe Ratio

Alpha

Beta

1.11

Sortino

10.14%

Std Dev

-8.31%

Max Drawdown

Performance Comparison

Sectoral allocation

as of 30 Jun 2026

Each sector links to the mutual funds most exposed to it.

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Fund Details

Fund Housequant Mutual Fund
CategoryMulti Asset / Dynamic
Benchmark15%CRISIL Short Term Bond Index + 65%BSE200 +20%iCOMDEX Composite Index
Launch Date03 Dec 2003
AMFI Code101072
Transaction facts
Min. Lumpsum₹5,000
Min. SIP₹1,000
Exit LoadNil

Available transactions

PurchaseSIPRedeemSWPSwitchSTPDemat

Portfolio holdings

as of 30 Jun 2026

portfolio shared with quant Multi Asset Allocation Fund - IDCW Option - Regular Plan

Holding% NAV

Investment Objective

quant Multi Asset Allocation Fund · Regular · Growth invests across at least three asset classes — equity, debt, and one more (gold, international equity, or REITs) — with a minimum 10% in each. This diversification aims to reduce portfolio volatility and provide more stable returns.

About This Fund

quant Multi Asset Allocation Fund · Regular · Growth is a Multi Asset / Dynamic mutual fund offered by quant Mutual Fund. The fund has been operational for over 22 years. It manages assets worth ₹5,437 Cr, reflecting investor confidence in the fund's strategy. It benchmarks its performance against 15%CRISIL Short Term Bond Index + 65%BSE200 +20%iCOMDEX Composite Index. The current expense ratio is 1.75%.

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
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