Quant Flexi Cap Fund Direct Growth

Quant Flexi Cap Fund Direct Growth

Get the latest NAV of Quant Flexi Cap Fund Direct Growth. View historical returns compared to its benchmark and category average. Know which stocks and sectors the fund is investing in. Get an estimate of returns from the SIP and lump sum returns calculator. View detailed holding analysis and peer comparison. Get INDmoney ranking of the fund.

₹106.50

3.6%1D

NAV as on 12 May 2025

19.61%/per year

Since Inception

Absolute Gain%

55969 people have invested ₹ 33.5Cr in Quant Flexi Cap Fund Direct Growth in the last three months

Quant Flexi Cap Fund Performance vs. Nifty 500

Fund returns vs Benchmark returns vs Category Average returns as on (12-May-25)

The fund has outperformed the benchmark (Nifty 500) over 3Y, 5Y, but underperformed over 1Y.

Period
This Fund
Nifty 500
Category Avg
1 Month
7.37%
8.47%
7.67%
3 Months
8.8%
7.67%
5.91%
6 Months
-1.24%
0.81%
-1.6%
1 Year
1.61%
9.98%
9.97%
3 Years
24.42%
18.69%
20.21%
5 Years
35.68%
24.52%
24.31%

Quant Flexi Cap Fund Ranking and Peer Comparison

Ranked based on performance, risk management and cost efficiency

5
/21
69% Performance
20% Risk Management
79% Cost

Ranked 5 out of 21 mutual funds in the flexi cap category as per INDmoney.

Fund Name
INDmoney Rank
AUM (in Crs.)
Expense Ratio
1Y Returns
3Y Returns
Inception Returns
Quant Flexi Cap Fund
5/21
7,016Cr
0.61%
1.61%
24.42%
19.61%
HDFC Flexi Cap Fund Direct Growth
1/21
69,639Cr
0.81%
20.03%
27.99%
17.25%
Parag Parikh Flexi Cap Fund Direct Growth
2/21
93,441Cr
0.63%
13.68%
21.19%
19.81%
Motilal Oswal Flexicap Fund Direct Growth
11/21
12,418Cr
0.89%
21.03%
27.46%
18.67%
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Outperformed benchmarks during bull run
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5Y returns in the top 25% of the category
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3Y returns in the top 25% of the category
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Highly volatile within category
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Poor track record of protecting capital in bear phase
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Poor track record of Recovering losses quickly

Quant Flexi Cap Fund Returns Calculator

Calculate SIP and lumpsum returns based on historical performance

  • 1-time

  • SIP

Total Investment

0

Profit


Total Corpus

0

Absolute Return

Quant Flexi Cap Fund Asset Allocation

as on (31-Mar-25)

Fund Distribution

as on (31-Mar-25)

Equity 90.3%

Debt & Cash 9.7%

Large cap
59.3%

Mid cap
19.3%

Small cap
11.7%

Mid Cap allocation has gone up from 9.9% to 10%
Mid Cap allocation has gone up from 9.9% to 10%
Large Cap allocation has gone up from 72% to 72%
Large Cap allocation has gone up from 72% to 72%
Small Cap allocation has gone down from 12.2% to 10.6%
Small Cap allocation has gone down from 12.2% to 10.6%
Cash allocation has gone up from 5.9% to 7.4%
Cash allocation has gone up from 5.9% to 7.4%

Quant Flexi Cap Fund Sector Allocation

as on (31-Mar-25)

Sector Allocation

Equity 90.3%

Debt & Cash 9.7%

Financial Services
23.3%
Consumer Defensive
18.1%
Energy
14%
Utilities
12.3%
Consumer Cyclical
8.5%
Basic Materials
7.6%
Industrial
7.2%
Health
6.9%
Communication
2%

Top 3 Sectors in March were Financial Services, Consumer Defensive & Energy

Mar'25

Financial Services

21%

Consumer Defensive

17%

Energy

16%

Feb'25

Financial Services

21%

Consumer Defensive

16%

Energy

16%

Quant Flexi Cap Fund Holdings Details

as on (30-Apr-25)

Equity

Debt & Cash

Top Stocks bought last month
Bajaj Finserv Ltd's allocation increased from 4.01% to 6.02%
Bajaj Finserv Ltd's allocation increased from 4.01% to 6.02%
Avenue Supermarts Ltd's allocation increased from 0.36% to 2.13%
Avenue Supermarts Ltd's allocation increased from 0.36% to 2.13%
Jio Financial Services Ltd's allocation increased from 3.3% to 3.74%
Jio Financial Services Ltd's allocation increased from 3.3% to 3.74%
Top Stocks sold last month
Reliance Industries Ltd's allocation decreased from 10.2 % to 9.88 %
Reliance Industries Ltd's allocation decreased from 10.2 % to 9.88 %
ITC Ltd's allocation decreased from 8.58 % to 8.21 %
ITC Ltd's allocation decreased from 8.58 % to 8.21 %
Adani Power Ltd's allocation decreased from 5.81 % to 5.7 %
Adani Power Ltd's allocation decreased from 5.81 % to 5.7 %

Quant Flexi Cap Fund Direct Growth Overview

Get key fund statistics, minimum investment details, AUM, expense ratio, exit load, and tax treatment.

Expense ratio0.61%
Benchmark
Nifty 500 TR INR
AUM₹7016 Cr
Inception Date1 January, 2013
Min Lumpsum/SIP₹5000/₹1000
Exit Load
1.0%
Lock InNo Lock-in
TurnOver
115.65%
STCGSelling mutual fund before 1 year, returns taxed at 20%.
LTCGAfter 1 year, 12.5% tax on returns over ₹1.25 lakh/year.
Risk
Risk meter
pointer
Very High Risk

About Quant Flexi Cap Fund

Quant Flexi Cap Fund is a flexi-cap mutual fund that invests across large, mid and small-cap stocks. While enjoying the ‘flexibility’ to adjust allocations across different market capitalisations. They invest at least 65% in equity and equity-related instruments and the remaining in debt instruments, REITs, InvITs, Foreign equity and other money-market instruments to build a diversified portfolio.

 

The fund follows Nifty 500 TRI as its benchmark index. The Nifty 500 index includes the top 500 companies by market capitalization in India. This index helps measure the funds’ performance accurately across a broader market of large-cap, mid-cap and small-cap companies. Quant flexi cap maintains a strong focus on industries like Energy, Financials, FMCG, Healthcare, Automobile, etc.

 

The fund managers at Quant practice sector rotation for their Flexi Cap fund. In this strategy, they do not stick to fixed weightage for different sectors; instead rotate based on macro trends. Moreover, in times of adverse market conditions, they move to cash or money market instruments to preserve capital. 

 

While picking stocks, they follow their proprietary VLRT framework. V stands for Valuation Analytics, which monitors a stock’s intrinsic value versus its market price. L stands for Liquidity Analytics, which tracks where capital is flowing across sectors or asset classes. R refers to Risk Appetite, helping them gauge overall market sentiment and investor behavior. T stands for Time, where they focus on market cycles and inflection points to time their investment decisions effectively.

Currently, the fund's portfolio comprises 11.7% small-cap stocks, 59.34% large-cap stocks, and 19.28% mid-cap stocks.

With an AUM of ₹7016.0 crores, Quant Flexi Cap Fund Direct Growth generated a return of 1.6% in 1 year, 24.4% in 3 years, 35.7% in 5 years. while its benchmark index (Nifty 500) generated 10.0% in 1 year, 18.7% in 3 years, and 24.5% in 5 years.

Fund Manager

Ankit A. Pande

Fund Manager of Quant Flexi Cap Fund Direct Growth, since 11 May 2020

Sanjeev Sharma

Fund Manager of Quant Flexi Cap Fund Direct Growth, since 31 January 2017

Learn more about Quant Mutual Fund
Parameters
Mar'25
Feb'25
Jan'25
AUM
₹ 6.7K Cr
₹ 6.2K Cr
₹ 6.8K Cr
  • AUM of the fund stands at 6.7K Cr as of Mar'25
  • AUM increased by 523.4 Cr between Mar'25 and Feb'25

Most Popular Comparisons

Quant Flexi Cap Fund

VS

Parag Parikh Flexi Cap Fund Direct Growth

Frequently Asked Questions for Quant Flexi Cap Fund Direct Growth

What is the current NAV of Quant Flexi Cap Fund Direct Growth?

The current NAV of Quant Flexi Cap Fund Direct Growth is ₹106.5 as on 12-May-2025.

What are the average returns of Quant Flexi Cap Fund Direct Growth?

Existing (Absolute + CAGR) as on 12-May-2025.
Quant Flexi Cap Fund Direct Growth
Absolute Returns
CAGR Returns
1 Month Returns
7.37%
7.37%
6 Month Returns
-1.24%
-1.24%
1 Year Returns
1.61%
1.61%
3 Years Returns
92.58%
24.42%

How do I invest in Quant Flexi Cap Fund Direct Growth?

With INDmoney, the process of investing is very simple and involves zero commission.
  • Click Buy on the fund name.
  • Input the amount you are looking to invest.
  • Select Lump Sum or SIP (Weekly, Monthly or Quarterly).
  • Select your bank account and proceed with Payment.

What is the expense ratio of Quant Flexi Cap Fund Direct Growth?

0.61% as on April 2025

What is net assets under management (AUM) of Quant Flexi Cap Fund Direct Growth?

₹7016 Cr as on April 2025

What are the top 5 holdings of Quant Flexi Cap Fund Direct Growth?

Reliance Industries Ltd(10.41%), Adani Power Ltd(5.69%), Aurobindo Pharma Ltd(5.31%), Samvardhana Motherson International Ltd(5.2%), Jio Financial Services Ltd(4.1%) as on April 2025

What are the top 3 sectors that this Quant Flexi Cap Fund Direct Growth has invested in?

Energy(17.29%), Financial Services(14.42%), Utilities(12.77%) as on April 2025

What is the alpha of Quant Flexi Cap Fund Direct Growth?

The alpha ratio for the Quant Flexi Cap Fund Direct Growth for various period is as follows:
Fund Name
Alpha 1 Year
Alpha 3 Years
Alpha 5 Years
Quant Flexi Cap Fund Direct Growth
-8.86
3
9.65
As on April 2025
The alpha for Quant Flexi Cap Fund Direct Growth is calculated against Nifty 500 TR INR. Higher alpha indicates that this fund has generated extra returns compared to the benchmark index. An alpha of 1.0 means the fund has outperformed its benchmark index by 1%.

What is the beta of Quant Flexi Cap Fund Direct Growth??

The Beta ratio for the Quant Flexi Cap Fund Direct Growth for various period is as follows:
Fund Name
Beta 1 Year
Beta 3 Years
Beta 5 Years
Quant Flexi Cap Fund Direct Growth
1.11
1.09
1.02
As on April 2025
The Beta for Quant Flexi Cap Fund Direct Growth is calculated with Nifty 500 TR INR. Beta tells the volatility of the mutual fund relative to its benchmark. If the beta of a mutual fund is more than 1, then the mutual fund is more volatile than its benchmark. If beta is less than 1, then the mutual fund is less volatile than the benchmark.

What is the sharpe ratio of Quant Flexi Cap Fund Direct Growth?

The sharpe ratio for the Quant Flexi Cap Fund Direct Growth for various period is as follows:
Fund Name
Sharpe Ratio 1 Year
Sharpe Ratio 3 Years
Sharpe Ratio 5 Years
Quant Flexi Cap Fund Direct Growth
-0.45
0.73
1.48
As on April 2025
The sharpe ratio for Quant Flexi Cap Fund Direct Growth is calculated with Nifty 500 TR INR. Sharpe ratio tells risk-adjusted-returns of the mutual fund. The higher a fund's Sharpe ratio, the better a fund's returns have been relative to the risk it has taken on.

What is the standard deviation of Quant Flexi Cap Fund Direct Growth?

The standard deviation for the Quant Flexi Cap Fund Direct Growth for various period is as follows:
Fund Name
Standard Deviation 1 Year
Standard Deviation 3 Years
Standard Deviation 5 Years
Quant Flexi Cap Fund Direct Growth
18.9
17.67
18.18
As on April 2025
Standard deviation tells the volatility of the returns of the mutual fund. The higher a fund's Standard deviation, the higher the volatility of the fund's returns.

What is the Sortino ratio of Quant Flexi Cap Fund Direct Growth?

Sortino ratio is 1.19 as on April 2025. Sortino ratio tells the downside risk-adjusted-returns of the mutual fund.

What is the information ratio of Quant Flexi Cap Fund Direct Growth?

Information ratio is 0.54 as on April 2025. It tells the consistency of the fund in generating superior risk-adjusted performance

Who is the manager of Quant Flexi Cap Fund Direct Growth?

Ankit A. Pande, Sanjeev Sharma are the fund managers of Quant Flexi Cap Fund Direct Growth

What is the exit load of Quant Flexi Cap Fund Direct Growth?

The Exit load of Quant Flexi Cap Fund Direct Growth is 1%