quant Mutual FundBalanced AdvantageDirect plan, growth
quant Dynamic Asset Allocation Fund
- NAV
- ₹17.13
- —11 Sept 2026
- AUM (₹ Cr)
- 903
- Average, April - June 2026
- Expense ratio
- 1.56%
- Regular 3.03%
- Risk
- Very High
- SEBI riskometer
- 3Y CAGR
- 13.1%+6.4%
- Benchmark 6.7%
- 5Y CAGR
- —
- Category 9.5%
Loading NAV history…
quant Dynamic Asset Allocation Fund
Calendar-year returns
Fund only: no comparison series covers this fund's history.
Risk statistics
Five years of daily NAVs. Risk-free rate 6.5% a year.
- Standard deviation
- —
- Maximum drawdown
- —
- Sharpe ratio
- —
- Sortino ratio
- —
- Beta
- —
- Alpha
- —
- R²
- —
- Information ratio
- —
- Upside capture
- —
- Downside capture
- —
- Tracking error
- —
Portfolio
Fund details
- Fund house
- quant Mutual Fund
- Category
- Hybrid · Balanced Advantage
- SEBI classification
- Hybrid / Dynamic Asset Allocation or Balanced Advantage
- Benchmark
- NIFTY 50 Hybrid Composite Debt 50:50 Index
- Launch date
- 13 Apr 2023 (3.4 years)
- Structure
- Open Ended
- Plans and options
- Direct Growth, Regular Growth
- Fund manager
- Sandeep Tandon
- Minimum SIP
- ₹1,000
- Minimum lumpsum
- ₹5,000 (then ₹1,000)
- Exit load
- 1.00%
- Lock-in
- None
- Riskometer
- Very High (benchmark High)
- Expense ratio as of
- 9 Sept 2026
- AUM period
- April - June 2026
- ISIN, Direct Growth
- INF966L01BL5
- ISIN, Regular Growth
- INF966L01BO9
- Scheme code
- 151713, 151714
NAV and returns as of 11 Sept 2026; returns are for the direct plan, growth option, before entry or exit costs. Not investment advice.
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