Quant Factsheet April 24
Quant Factsheet April 24
Flexibility
Creates Adaptability
                                            quant mutual fund
                           Mutual Fund investments are subject to market risks, read all scheme related documents carefully
   The ebb and flow of the financial markets has always been a subject of intrigue, as the winds of change can bring both prosperity and adversity. It is a
 dance between the forces of the past and the potential of the future, as investors must determine whether a shift in the seemingly random, continuous
gyrations of the market, signifies a trend reversal or is just a fleeting pause in the beat of a larger drum of the existing trend. This inquiry into the nature of
 the markets, of the patterns it weaves as it finds the truth amongst the trillions of combined calculations of all the computing and human brain power at
   work to figure it out, is a complex, reflexive and elusive endeavour, requiring a deep understanding of the forces that shape it. Timing, in this context,
        becomes a symphony of intuition and critical analysis, as it helps one harmonize with the markets and seize the opportunities they present.
                Investing success depends on the ability to hear every footstep of the markets and act in concert with their movements.
                There is considerable academic research with empirical evidence that the biased focus on conventional fundamental analysis
             helps managers generate alpha by buying at the right time, but their selling decisions underperform substantially, even relative to
                   random selling. Put bluntly, a random set of sell decisions would do better than the average money manager. We believe
          this is a significantly overlooked factor in investing, and one, that we want to move beyond, by giving primary importance to the timing
                           of our decisions. It is the essence of adaptive asset allocation – adapt and generate alpha, or underperform.
 Though its conventionally considered a risky strategy, we have a different perspective – timing and investing are inseparable activities. Any investing act
 has a component of timing that irreversibly affects the value derived from the investment. In contemporary times, this observation is even backed up by
the US Federal Reserve’s role in the global financial system. The timing of rate decisions is paramount in determining whether policy action is constructive
or destructive and even the US Fed recognizes this simple fact. By logical extension, the entire global financial system is based on the same principle which
                                    we explicitly state as a core part of our money management – ‘timing is everything’.
            We believe investing with a 'perpetuity' mindset leads to sub-optimal results as it leads to value traps, more detrimental effects of
          behavioral biases, as well as leads to a comfortable but static approach in an ever-changing world. Long-term investing is about staying
             invested in markets while dynamically timing the asset allocation and sector rotation. This approach may have worked during a
              unidirectional multi-decade trend, however, in the period of radical change that we are in now, dynamic money management
                     has become necessary. The science of timing needs to be given focus at par with other dimensions of investing.
          Time manifests itself in the world through probability distributions. There is never a fixed future, only probabilities of possible futures.
              Effective money management is about investing based on how these ripples in time manifest through the dimensions of risk,
            liquidity and valuations. Through the Predictive Analytics set of indicators and VLRT investment framework, we have designed and
                                        implemented a money management process that is probabilistic by design.
                  The vision is to position better and mitigate risk of future market movements by quantifying possible future states of
                                     the global order and taking decisions that are the result of probabilistic weights.
                   Investment Philosophy
In a dynamic world that is continuously changing due to technology and increasingly volatile
geopolitics, passive investment strategies can no longer outperform. Alpha belongs to active
strategies that can invest in sync with the dynamics at play.
Being relevant comes by staying active
We believe consistent outperformance requires complete freedom from looking at the world
relatively. It is why we design investment strategies with an absolute objective irrespective of market
conditions. With this absolute objective, comes clarity of thought
Being relevant requires an absolute focus on returns
Embedded within our processes and systems is the conviction that the surest way to success in
investing is through cultivation of a multitude of opinions and perspectives. By bringing together this
diversity of ideas within our investment framework, we aim to unearth every possible opportunity in
any set of circumstances
Being relevant means having an unconstrained perspective
                                                            Core Beliefs
One of the oldest scriptures and philosophy in the world is the Vedic philosophy. These scriptures are a comprehensive effort to describe all
aspects of the universe and human existence. To undertake this gigantic task, they rely on three core ideas - Atman, Prana and Maya. These
                       ideas are the inspiration for our perspective on investment research and money management
                             ‘Atman’ is the ‘true’ or ‘absolute’ self of a person, beyond all names and subjective judgements that
                             the world and the person choose to apply on themself. In that sense, real assets and profit-
                             generating capacity of all economic entities and participants are the 'fundamentals' underlying every
                             kind of market. Without the Atman, an individual cannot exist. Similarly, without fundamentals,
                             value cannot persist
                             ‘Prana’ refers to universal energy in all it's forms. It is the vibrational force that makes every electron
                             and atom vibrate and move. For markets, the dynamic flow of money which we study as liquidity,
                             enables participants to undertake economic activity and create an ecosystem. While Prana enables
                             life, liquidity imparts a 'value' to assets and organisations.
                             ‘Maya’ depicts the illusion of this world as subjectively experienced by all humans. Each person
                             imagines the world to be in a peculiar way, based on their own opinions and perceptions, and lives
                             accordingly. 'Price' is the illusion market participants assign to every economic unit, according to their
                             subjective ideas of the present and the future, based on a myriad assumptions, experiences and
                             predictions. Maya is the intricate illusion of this universe created by our minds and price is the
                             ever-changing perception of economic value created by investors
                     Investment Principles
Measurable is reliable: For success in investing, discipline is of more importance than any other
attribute of the investment process. Our battle-tested suite of proprietary valuation, liquidity and risk
indicators along with extensive financial modelling ensure that we consistently deliver superior
results
Quantamental investing: While measurable is reliable, we also believe the economy and markets
cannot be captured completely by models and indicators. Human judgement that comes from years
of trading and investing experience has immense value. For optimal results, our decision-making
seeks to find the harmony between objectivity and subjectivity
Multi-asset, multi-manager: We believe that safeguarding investor wealth is paramount. Apart from
reducing risk by investing across asset classes, we take diversification to another dimension by
ensuring every investment decision comes from a focused discussion between investment managers
with a diverse set of capabilities and experience
Money flows from one asset class to another: Money is a form of economic energy - the
quantification of human effort. As the world evolves, a dynamic set of ideas continuously lead the
change. Money flows and grows with these pioneering ideas. Identifying them and the specific assets
that benefit is the surest and most consistent method for generating wealth
Timing is everything: In our framework, time is a critical aspect of investing as the three dimensions
of Valuation, Liquidity and Risk interact and move together in cycles across different periods. Alpha
generation is optimised only by sanguine identification of the extremes.
Adaptive money management – VLRT Framework
                             Roots going three decades deep – The unfolding quant journey
quant Small Cap Fund 47.77% 50.25% 10.50% -1.50% 88.05% 63.34% 75.10% 26.46%
quant ELSS Tax Saver Fund 30.93% 26.62% 13.34% 5.33% 59.83% 31.60% 46.92% 17.89%
quant Mid Cap Fund 36.05% 45.30% 18.52% 5.26% 50.39% 48.16% 42.03% 25.56%
quant Multi Asset Fund 22.38% 14.25% 14.06% 6.73% 54.05% 19.69% 26.89% 15.58%
quant Absolute Fund 15.74% 18.16% 14.17% 5.51% 44.48% 19.74% 35.87% 17.98%
quant Active Fund 25.41% 33.85% 11.49% 3.97% 55.64% 40.62% 43.55% 21.19%
quant Large & Mid Cap Fund 32.75% 32.67% 14.39% 5.67% 36.84% 37.04% 28.83% 20.87%
quant Infrastructure Fund 33.12% 39.67% 14.37% 8.47% 83.22% 37.77% 32.29% 14.34%
quant Focused Fund 28.34% 26.62% 10.72% 5.33% 35.60% 31.60% 23.46% 17.89%
quant Flexi Cap Fund 30.18% 26.62% 12.35% 5.33% 57.91% 31.60% 47.43% 17.89%
quant ESG Equity Fund 25.46% 22.99% 16.99% -1.82% 64.28% 32.26% N.A. N.A.
quant Quantamental Fund 37.71% 24.24% 27.89% 6.00% N.A. N.A. N.A. N.A.
quant Value Fund 37.70% 26.62% 16.60% 5.33% N.A. N.A. N.A. N.A.
   quant Large Cap Fund         26.82%          20.68%    N.A.            N.A.     N.A.            N.A.     N.A.            N.A.
                                                                     quant - Money Managers’ Impact Navigator
                                                                                    3 Months           6 Months                   1 Year                   3 Years                   5 Years                Since Inception
               Fund                             Fund Manager
                                                                                 Fund     BM        Fund      BM              Fund       BM             Fund      BM              Fund      BM             Fund         BM
          quant Small Cap Fund               Ankit Pande, Vasav Sahgal,
     (Inception Date: Oct. 29, 1996)              Sanjeev Sharma
                                                                                 8.95%     2.81%    26.26%      18.20%       73.74%       69.52%       43.28%       29.10%       36.53%       22.69%      33.07%      16.98%
              quant Tax Plan
     (Inception Date: Apr. 13, 2000)
                                             Ankit Pande, Vasav Sahgal           9.25%     4.58%    27.79%      18.34%       61.91%       43.91%       33.49%       19.82%       32.58%       17.35%      38.53%      14.90%
           quant Mid Cap Fund                Ankit Pande, Vasav Sahgal,
    (Inception Date: Mar. 20, 2001)               Sanjeev Sharma
                                                                                13.77%     5.06%    28.01%      18.86%       73.01%       61.62%       38.67%       27.39%       31.94%       23.56%      32.41%      19.36%
         quant Multi Asset Fund         Sandeep Tandon, Ankit Pande, Sanjeev
     (Inception Date: Apr. 17, 2001)     Sharma, Vasav Sahgal, Varun Pattani
                                                                                13.18%     3.99%    29.79%      11.72%       48.79%       22.07%       33.49%       12.00%       28.53%       10.34%      25.55%       N.A.
           quant Absolute Fund              Sanjeev Sharma, Ankit Pande,
     (Inception Date: Apr. 17, 2001)                Vasav Sahgal
                                                                                10.97%     4.22%    22.34%      13.58%       41.84%       29.29%       25.87%       14.38%       25.10%       14.20%      39.63%      12.77%
            quant Active Fund                Ankit Pande, Vasav Sahgal,
     (Inception Date: Apr. 17, 2001)              Sanjeev Sharma
                                                                                 8.47%     4.31%    21.80%      18.38%       56.60%       51.45%       29.70%       22.92%       29.28%       19.54%      45.34%      16.33%
            quant Liquid Fund
     (Inception Date: Oct. 03, 2005)
                                                  Sanjeev Sharma                 1.84%     1.84%    3.59%        3.64%        7.22%        7.35%        5.67%        5.59%        5.78%           5.46%   12.84%      6.87%
      quant Large & Mid Cap Fund             Ankit Pande, Vasav Sahgal,
     (Inception Date: Jan. 08, 2007)              Sanjeev Sharma
                                                                                13.13%     4.88%    33.16%      18.55%       68.42%       49.58%       32.16%       22.43%       26.30%       19.65%      24.77%      16.89%
        quant Infrastructure Fund
     (Inception Date: Sep. 20, 2007)
                                             Ankit Pande, Vasav Sahgal          19.79%    14.20%    45.58%      35.20%       80.94%       68.84%       43.44%       28.69%       35.60%       22.83%      13.33%      12.48%
           quant Focused Fund                Ankit Pande, Vasav Sahgal,
    (Inception Date: Aug. 28, 2008)               Sanjeev Sharma
                                                                                10.78%     4.58%    28.30%      18.34%       59.30%       43.91%       25.94%       19.82%       23.77%       17.35%      21.67%      14.90%
           quant Flexi Cap Fund            Sandeep Tandon, Ankit Pande,
     (Inception Date: Oct. 17, 2008)       Sanjeev Sharma, Vasav Sahgal
                                                                                12.64%     4.58%    30.47%      18.34%       64.96%       43.91%       34.63%       19.82%       30.48%       17.35%      23.00%      14.90%
          quant ESG Equity Fund            Ankit Pande, Sanjeev Sharma,
    (Inception Date: Nov. 05, 2020)                 Vasav Sahgal
                                                                                10.75%     4.15%    23.16%      18.17%       56.80%       40.78%       34.93%       16.39%         N.A.           N.A.    41.15%      20.71%
        quant Quantamental Fund            Ankit Pande, Sandeep Tandon,
    (Inception Date: May. 03, 2021)        Sanjeev Sharma, Vasav Sahgal
                                                                                14.29%     4.76%    34.63%      18.54%       71.49%       41.50%         N.A.         N.A.         N.A.           N.A.    33.53%      18.93%
            quant Value Fund               Sandeep Tandon, Ankit Pande,
    (Inception Date: Nov. 30, 2021)        Sanjeev Sharma, Vasav Sahgal
                                                                                15.44%     4.58%    41.26%      18.34%       80.92%       43.91%         N.A.         N.A.         N.A.           N.A.    32.13%      16.11%
          quant Large Cap Fund             Sandeep Tandon, Ankit Pande,
    (Inception Date: Aug. 11, 2022)        Sanjeev Sharma, Vasav Sahgal
                                                                                11.52%     4.69%    28.51%      18.24%       59.64%       37.93%         N.A.         N.A.         N.A.           N.A.    25.87%      17.31%
          quant Overnight Fund
    (Inception Date: Dec. 04, 2022)
                                                  Sanjeev Sharma                 1.75%     1.67%    3.69%        3.39%        7.34%        6.85%         N.A.         N.A.         N.A.           N.A.    7.11%       6.76%
             quant Gilt Fund
    (Inception Date: Dec. 21, 2022)
                                                  Sanjeev Sharma                 2.37%     3.11%    3.78%        5.17%        7.87%        8.65%         N.A.         N.A.         N.A.           N.A.    7.61%       8.38%
 quant Dynamic Asset Allocation Fund       Sandeep Tandon, Ankit Pande,
     (Inception Date: Apr. 12, 2023)       Sanjeev Sharma, Vasav Sahgal
                                                                                15.59%     3.87%    31.78%      11.45%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    57.45%      21.71%
        quant Business Cycle Fund          Sandeep Tandon, Ankit Pande,
    (Inception Date: May. 30, 2023)        Sanjeev Sharma, Vasav Sahgal
                                                                                 7.33%     4.58%    24.88%      18.34%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    65.61%      36.21%
             quant BFSI Fund               Sandeep Tandon, Ankit Pande,
     (Inception Date: Jun. 20, 2023)       Sanjeev Sharma, Vasav Sahgal
                                                                                12.19%    -2.47%    30.28%       6.80%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    75.83%      10.48%
          quant Healthcare Fund            Sandeep Tandon, Ankit Pande,
      (Inception Date: Jul. 17, 2023)      Sanjeev Sharma, Vasav Sahgal
                                                                                 8.15%    11.34%    24.42%      25.98%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    50.00%      50.83%
       quant Manufacturing Fund            Sandeep Tandon, Ankit Pande,
    (Inception Date: Aug. 14, 2023)        Sanjeev Sharma, Vasav Sahgal
                                                                                13.31%    11.49%    30.61%      26.70%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    75.20%      48.80%
             quant Teck Fund               Sanjeev Sharma, Ankit Pande,
     (Inception Date: Sep. 05, 2023)               Vasav Sahgal
                                                                                 9.05%     0.84%    18.94%      12.08%         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    37.26%      20.49%
         quant Momentum Fund               Sandeep Tandon, Ankit Pande,
    (Inception Date: Nov. 20, 2023)        Sanjeev Sharma, Vasav Sahgal
                                                                                20.23%     4.58%     N.A.         N.A.         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    131.36%     50.24%
        quant Commodities Fund             Sandeep Tandon, Ankit Pande,
    (Inception Date: Dec. 27, 2023)        Sanjeev Sharma, Vasav Sahgal
                                                                                13.57%     8.06%     N.A.         N.A.         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    70.24%      42.33%
        quant Consumption Fund             Sandeep Tandon, Ankit Pande,
       (Inception Date: Jan. 24, ‘24)      Sanjeev Sharma, Vasav Sahgal
                                                                                 N.A.      N.A.      N.A.         N.A.         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    30.53%      55.35%
             quant PSU Fund                Sandeep Tandon, Ankit Pande,
       (Inception Date: Feb. 05, ‘24)      Sanjeev Sharma, Vasav Sahgal
                                                                                 N.A.      N.A.      N.A.         N.A.         N.A.         N.A.         N.A.         N.A.         N.A.           N.A.    -5.53%      11.42%
Note: Data as on 28 March ‘24. Past performance may or may not be sustained in future. Returns less than 1 year are simple annualised and above 1 year are CAGR. *BM – Benchmark of the scheme.
 quant Momentum Fund                            1356        13.4481            2.42%     1.19%     9.98%       4.59%       20.23%         4.58%       34.20% 14.36%                N.A.            N.A.   131.36% 50.24%
  (Allotment Date: Nov 20, 2023)
Note: Data as on 28 March ‘24 *Returns are of Direct Plan; ^Annualised Returns, MuM: money under management
                                     quant Small Cap Fund
quant Small Cap Fund invests majority of the portfolio is composed of small-cap stocks and portfolio is
constructed from both medium-term and long-term perspective and this scheme is apt for long-term
investors. The bulk of the portfolio is invested in high growth companies with attractive valuation and is
relatively under-owned. The scheme has a return of over 760.48% between March 24, 2020 and March 28,
'24 with a portfolio beta of 1.17.
     Ankit Pande, Vasav Sahgal, Sanjeev                                                                   3 year return               40.38%              28.33%               16.31%                 27,665           21,135             15,736
                  Sharma                                                                                  5 year return               34.90%              22.54%               15.28%                 44,677           27,630             20,356
LOAD STRUCTURE Since Inception* 12.12% N.A. N.A. 229,845 N.A. N.A.
quant Active Fund is a multicap allocation product with the freedom to invest across sectors provides a
flavour of the entire market with superior risk-adjusted returns and flexibility for tactical allocation based on
the macro environment. This scheme is ideal for long-term investors with medium risk appetite. The scheme
has a return of over 422.61% between March 24, 2020 and March 28, '24 with a portfolio beta of 1.21.
Investment Objective:The primary investment objective of the scheme is to seek to generate capital appreciation & provide long-term growth
opportunities by investing in a portfolio of Large Cap, Mid Cap and Small Cap companies. There is no assurance that the investment objective of
                                                                                                                                                                                                                                FUND SIZE
the Scheme will be realized.
                                                                                                                                                                                                                           8,732 Crore
                     SCHEME SNAPSHOT                                                                                           PORTFOLIO TOP HOLDING                                                     RELATIVE WEIGHTAGE
                            INCEPTION DATE                                                               LIST OF SECURITIES                                            % TO NAV
                                17 April 2001
                                                                                                         Reliance Industries Ltd.                                             9.95
              RISK ADJUSTED MEASURES
     Ankit Pande, Vasav Sahgal, Sanjeev                                                                   3 year return               27.11%              22.28%               16.31%              20,539              18,282             15,736
                  Sharma                                                                                  5 year return               27.45%              19.38%               15.28%              33,629              24,246             20,356
LOAD STRUCTURE Since Inception* 19.69% N.A. 15.75% 617,995 N.A. 287,041
quant ELSS Tax Saver Fund is managed like Flexi cap and portfolio is constructed from long-term perspective
and this scheme is apt for long-term investors. Investors can enjoy triple benefit of equity participation,
lowest lock-in period, and tax savings under 80C. The bulk of the portfolio is invested in high growth
companies with attractive valuation and relatively under-owned. The scheme has a return of 498.71%
between March 24, 2020 and March 28, '24 with a portfolio beta of 1.24.
LOAD STRUCTURE Since Inception* 16.01% 13.89% 13.39% 351,029 225,598 202,811
quant Mid Cap Fund invests majority of the portfolio is composed of mid-cap stocks and from both
medium-term and long-term perspective and this scheme is apt for long-term investors. Potential leaders of
tomorrow form the bulk of the portfolio, with a broad range of companies at every stage of the business
cycle. This provides a good mix of stocks with high growth potential and moderate risk levels. The scheme
has yielded a return of 472.40% in between March 24, 2020 and March 28, '24 with a portfolio beta of 1.15.
     Ankit Pande, Vasav Sahgal, Sanjeev                                                                   3 year return               35.23%              26.50%               16.31%              24,728              20,245             15,736
                  Sharma                                                                                  5 year return               29.37%              23.33%               15.28%              36,234              28,530             20,356
LOAD STRUCTURE Since Inception* 14.16% N.A. 15.24% 210,989 N.A. 261,916
quant Flexi Cap scheme has a highest flexibility to invest across sectors and market capitalisations. This gives
the fund highest flexibility and diversification to maximize returns opportunities by tactically moving
between large, mid, and small cap stocks using the ‘Adaptive Asset Allocation’ model. This scheme is ideal for
long-term investors with medium risk appetite. This scheme has a return of 478.05% between March 24,
2020 and March 28, '24 with a portfolio beta of 1.23.
           Sandeep Tandon, Ankit Pande,                                                                   3 year return               32.83%              19.28%               16.31%              23,436              16,970             15,736
           Sanjeev Sharma, Vasav Sahgal                                                                   5 year return               28.80%              17.20%               15.28%              35,441              22,112             20,356
LOAD STRUCTURE Since Inception* 15.55% 16.15% 15.05% 93,175 100,910 87,185
quant Infrastructure Fund invests majorly in infrastructure theme stocks with the freedom to invest across
market caps. The scheme benefits from the massive scope of infrastructure investment opportunities which
will continue to expand to meet demand for developing and modernizing critical infrastructure and this
scheme is ideal for long-term investors with high risk appetite. This scheme has a return of 653.23% between
March 24, 2020 and March 28, '24 with a portfolio beta of 1.35.
LOAD STRUCTURE Since Inception* 8.37% 5.33% 11.12% 37,709 23,566 57,043
quant Large & Mid Cap Fund is a focused allocation scheme to construct a long-term portfolio composing of
both large and mid-cap companies with the freedom to invest across emerging sectors. This provides
exposure to high growth potential of midcaps along with relatively lower volatility of large caps. This scheme
is ideal for long-term investors with medium risk appetite. This scheme has a delivered a return of 328.22% in
between March 24, 2020 and March 28, '24 with a portfolio beta of 1.21.
     Ankit Pande, Vasav Sahgal, Sanjeev                                                                   3 year return               29.21%              21.76%               16.31%              21,569              18,053             15,736
                  Sharma                                                                                  5 year return               24.56%              19.47%               15.28%              29,986              24,338             20,356
LOAD STRUCTURE Since Inception* 15.02% 13.93% 11.93% 111,210 94,500 69,648
quant Quantamental Fund is a a unique scheme which is designed to manage both short-term and
medium-term risk efficiently and this not only reduces the risk but also generates alpha in the medium-term.
This scheme is ideal for long-term investors with medium risk appetite. This scheme has a delivered a return
of 131.45% in between April 30, 2021 and March 28, '24 with a portfolio beta of 1.25.
           Ankit Pande, Sandeep Tandon,                                                                   3 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                   5 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
LOAD STRUCTURE Since Inception* 31.34% 18.93% 17.05% 22,059 16,538 15,790
quant Absolute Fund is a unique strategy product with a majority allocation to equities and invests across
sectors and market caps with a focus on absolute returns regardless of market conditions. Smaller allocation
is spread across low risk debt instruments and money market instruments and this scheme is ideal for
long-term investors with low risk appetite. The scheme has a return of 299.98% between March 24, 2020 and
March 28, '24 with a portfolio beta of 0.95.
Investment Objective:The investment 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
                                                                                                                                                                                                                                FUND SIZE
investment objective of the Scheme will be realized.
                                                                                                                                                                                                                           1,869 Crore
                     SCHEME SNAPSHOT                                                                                           PORTFOLIO TOP HOLDING                                                     RELATIVE WEIGHTAGE
                            INCEPTION DATE                                                               LIST OF SECURITIES                                            % TO NAV
                                17 April 2001
                                                                                                         Jio Financial Services Ltd.                                          9.96
              RISK ADJUSTED MEASURES
    Sanjeev Sharma, Ankit Pande, Vasav                                                                    3 year return               23.88%              14.06%               16.31%              19,010              14,840             15,736
                 Sahgal                                                                                   5 year return               23.48%              14.11%               15.28%              28,705              19,349             20,356
LOAD STRUCTURE Since Inception* 17.38% N.A. 15.75% 395,215 N.A. 287,041
quant Momentum Fund is a unique scheme which is designed to manage both near-term and short-term risk
efficiently and this not only reduces the risk but also generate alpha in the medium-term. This scheme is
ideal for longterm investors with high risk appetite. Flexibility to invest across market caps and sectors to
optimize potentially outperformance opportunity. This scheme has a return of 34.48% in between November
20, 2023 and March 28, '24 with a portfolio beta of 0.92.
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 127.61% 50.24% 43.38% 13,371 11,546 11,357
                       BENCHMARK INDEX:
                          NIFTY 500 TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant Value Fund investments goes beyond selecting securities merely on the      basis of a statistical measure
indicating which stocks are less expensive. Using multi-dimensional research     and Predictive Analytics, the
fund endeavors to distinguish temporary cycles from permanent shifts and       if the change is secular, to
accurately estimate its impact. This scheme is ideal for long-term investors    with high risk appetite. This
scheme has a delivered a return of 91.12% in between November 30, 2021 and      March 28, '24 with a portfolio
beta of 1.21.
           Sandeep Tandon, Ankit Pande,                                                                   3 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                   5 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
LOAD STRUCTURE Since Inception* 29.87% 16.11% 13.74% 18,360 14,150 13,488
quant Business Cycle Fund creates a dynamically managed equity portfolio that takes advantage of emerging
opportunities due to change in cycles and protects from secular declines. It is managed as a focused flexicap
fund with select exposure to 6-8 sectors with concentration on mostly 3-4 sectors on cusp of an inflection
points. This scheme has a delivered a return of 51.97% in between May 30, 2023 and March 28, '24 with a
portfolio beta of 1.22.
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 62.97% 36.21% 25.69% 14,996 12,922 12,089
                       BENCHMARK INDEX:
                          NIFTY 500 TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant Dynamic Asset Allocation Fund (DAAF) offers highest flexibility to switch between low-risk debt and
high risk equity instruments based on the Risk-On/Risk-Off environment. Minimum 65% equity exposure is
maintained to avail equity taxation while derivatives can be used to hedge up to 100% of equity exposure.
Brings maximum possible diversification in a single portfolio and moderates portfolio volatility by limiting
extreme outcomes and optimizing inflection points. Active rebalancing is done to adapt to macro
environment. This scheme is ideal for low risk appetite investors. This scheme has a delivered a return of
54.69% in between April 12, 2023 and March 28, '24 with a portfolio beta of 0.99.
           Sandeep Tandon, Ankit Pande,                                                                   3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                   5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 54.89% 21.71% 28.01% 15,227 12,078 12,678
                       BENCHMARK INDEX:
                        CRISIL Hybrid 50+50
                         Moderate Index
                                                                                                         Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                         into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                         Business Day of each month.
                                                                                                         *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                         MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant Focused Fund is a large-cap focused scheme with the freedom to invest across unique sectors which
are perceived to be emerging companies with less volatility and enjoying high liquidity. This scheme is ideal
for long-term investors with medium risk appetite. This scheme has a return of 316.07% between March 24,
2020 and March 28, '24 with a portfolio beta of 1.19.
     Ankit Pande, Vasav Sahgal, Sanjeev                                                                   3 year return               23.01%              19.28%               16.31%              18,613              16,970             15,736
                  Sharma                                                                                  5 year return               21.35%              17.20%               15.28%              26,312              22,112             20,356
LOAD STRUCTURE Since Inception* 14.55% 13.45% 12.62% 83,020 71,463 63,714
quant Large Cap Fund is a large-cap well diversified scheme with the freedom to invest across companies,
which are perceived to be stable companies with less volatility and enjoying high liquidity. This scheme is
ideal for long-term investors with medium risk appetite. This scheme has delivered a return of 45.47%
between August 12, 2022 and March 28, '24 with a portfolio beta of 1.16.
           Sandeep Tandon, Ankit Pande,                                                                   3 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                   5 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
LOAD STRUCTURE Since Inception* 23.76% 17.31% 16.52% 14,152 12,971 12,828
quant Manufacturing Fund scheme will invest in companies with strong profit potential from production &
exports, on the back of technology & automation, including those benefiting from the government’s ‘Make in
India,’ PLI, and export incentives. The scheme has flexibility to invest in companies across market caps and
several manufacturing industries in order to optimize the risk-return payoffs. This scheme has a delivered a
return of 41.69% in between August 14, 2023 and March 28, '24 with a portfolio beta of 1.28.
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 72.21% 48.80% 25.82% 14,019 12,802 11,534
               BENCHMARK INDEX:
          Nifty India Manufacturing Index
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant BFSI Fund scheme is apt for the investors willing to participate in the potential growth of the Indian
Banking & Financial Services sector and willing to participate in sectoral themes emerging due to digital
revolution ‘when finance meets technology’. The scheme will invest in BFSI companies that are expected to
benefit from financial inclusion and evolving digital technologies. This scheme has a delivered a return of
54.60% in between June 20, 2023 and March 28, '24 with a portfolio beta of 0.89
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 72.97% 10.48% 25.90% 15,266 10,800 11,946
                  BENCHMARK INDEX:
                Nifty Financial Services TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant TECk Fund scheme invests in opportunities across Tech, Media, Telecom (TMT) sectors that exhibit
transformational power of research & innovation and the digital prowess to bring about superior business
outcomes. A dedicated investment approach to the TMT sectors in India which can benefit from India’s
superior positioning as a burgeoning center of software and technological innovation. This scheme has a
delivered a return of 18.83% in between September 11, 2023 and March 28, '24 with a portfolio beta of 0.99.
    Sanjeev Sharma, Ankit Pande, Vasav                                                                 3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
                 Sahgal                                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 35.05% 20.49% 23.22% 11,779 11,069 11,205
                       BENCHMARK INDEX:
                         S&P BSE TECk TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant Healthcare Fund scheme invests in healthcare, life sciences, insurance and wellness companies that
are expected to benefit from increased investments in healthcare infrastructure and service delivery,
including advanced medical technology. The scheme has flexibility to invest in companies, across market
caps, to optimize risk return payoff. As inflexion point strategists, we will construct a focused or diversified
portfolio, based on the sub-sector outlook. This scheme has a delivered a return of 32.72% in between July
17, 2023 and March 28, '24 with a portfolio beta of 0.90.
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 47.58% 50.83% 20.63% 13,122 13,323 11,399
                     BENCHMARK INDEX:
                    S&P BSE Healthcare TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
Major investment into commodity-linked stocks provides exposure to management efficiency, new and
emerging profitable business lines, and best practices of those companies leading to potentially robust long
term portfolio performance. Broad asset allocation permits investment in Gold and Silver Exchange Traded
Funds (ETFs) to derive higher positive beta during cyclical upturns. The portfolio will be managed through a
flexi cap approach that seeks to onboard opportunities across a wide swathe of sectors falling broadly under
Commodities, Energy, Diversified, and Utilities. quant Commodities Fund has a return of 14.34% between
December 27, 2023 – March 28, '24 with a portfolio beta of 1.34
            Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
            Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 67.37% 42.33% 13.70% 11,385 10,930 10,329
                       BENCHMARK INDEX:
                       Nifty Commodities TRI
                                                                                                       Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                       into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                       Business Day of each month.
                                                                                                       *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
     *Investors should consult their financial advisers if in doubt about whether the product is
                                          suitable for them
                                                                                                       MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
Primarily invests in companies that benefit from the huge multi-decade opportunity in the Indian
consumption landscape. The fund aims to actively identify and invest in companies, which are most likely to
benefit from increased consumer spending and affluence. The scheme tilts exposure to a select 6-8
consumption themes and concentrates mostly on 3-4 core emerging themes most of the time, that are
expected to be on the cusp of a growth cycle, as evaluated through macro-economic analytics and changing
human behavioral patterns.          quant Consumption Fund has a return of 4.78% between January 24, 2024 –
March 28, '24 with a portfolio beta of 0.55
           Sandeep Tandon, Ankit Pande,                                                                3 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
           Sanjeev Sharma, Vasav Sahgal                                                                5 year return                 N.A.                N.A.                 N.A.               N.A.                N.A.             N.A.
LOAD STRUCTURE Since Inception* 28.23% 55.35% 26.52% 10,445 10,802 10,421
             BENCHMARK INDEX:
        S&P BSE Consumer Discretionary
          Goods & Services Index TRI
                                                                                                      Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                      into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                                                                                                      Business Day of each month.
                                                                                                      *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
    *Investors should consult their financial advisers if in doubt about whether the product is
                                         suitable for them
                                                                                                      MINIMUM INVESTMENT : 5000/- and multiple of Re. 1/ SUBSEQUENT INVESTMENT : 1000/- and multiple of Re. 1/-
quant ESG Equity scheme allocation to companies meeting the ESG criteria with the freedom to invest across
sectors and companies demonstrating sustainable practices in the area of environmental stability,
socio-economic development, and adherence to ethical governance standards. ESG ratings framework guides
security selection and this scheme is ideal for long-term investors with medium risk appetite. This scheme
has a delivered a return of 221.96% in between October 15, 2020 and March 28, '24 with a portfolio beta of
1.00.
    Ankit Pande, Sanjeev Sharma, Vasav                                                                    3 year return               32.39%              15.85%               16.31%                 23,202            15,550             15,736
                  Sahgal                                                                                  5 year return                 N.A.                N.A.                 N.A.                  N.A.              N.A.               N.A.
LOAD STRUCTURE Since Inception* 39.00% 20.71% 21.06% 30,558 18,936 19,121
quant Multi Asset Fund is a hybrid strategy product and is apt for long-term investors with lower risk profile
as its portfolio construction involves multiple asset classes such as equity, debt, gold and silver ETFs and
other commodity ETFs. The fund freely invests across all market caps and sectors and debt securities, and
rotates allocations between the asset classes dynamically according to the market conditions. This scheme
has a return of 353.20% between March 24, 2020 and March 28, '24 with low a portfolio beta of only 0.99.
                                                                           SCHEME RETURNSˆ
                                               Scheme          Benchmark             Nifty                     Value of Rs.10,000 invested
                                Period
                                              Return (%)       Return (%)          Return (%)             Scheme       Benchmark              Nifty
                       6 month return            28.69%           11.72%             14.09%               12,869          11,172             11,409
                       YTD return                12.89%            N.A.                 2.92%             11,289           N.A.              10,292
                       1 year return             43.49%           22.07%             30.08%               14,349          12,207             13,008
                       3 year return             31.04%           12.00%             16.31%               22,503          14,049             15,736
                       5 year return             27.04%           10.34%             15.28%               33,084          16,356             20,356
                       Since Inception*          11.51%            N.A.              15.75%               121,688          N.A.              287,041
                                                                               SIP RETURNSˆ
                                                                        Fund                        Benchmark                        Nifty
                                             Investment
                            SIP Tenure                        Market       SIP Returns       Market         SIP Returns    Market              SIP
                                              Amt. (Rs.)
                                                             Value (Rs.)       (%)          Value (Rs.)         (%)       Value (Rs.)        Returns
                       1 Year                   120000         150702          51.60%           135124        24.61%       137018            27.81%
                       3 Years                  360000         532352          27.30%           441823        13.85%       461301            16.88%
                       5 Years                  600000        1256767          30.19%           879245        15.33%       951835            18.58%
                       7 Years                  840000        2093793          25.72%           1341683       13.18%       1505515           16.41%
                       Since Inception*        2760000       15459654          13.02%            N.A.          N.A.       20887386           15.09%
                       Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                       into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
                       Business Day of each month.
                       *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
quant Liquid Fund portfolio is spread entirely across debt and money market instruments with maturity up to
91 days. The scheme offers a convenient parking place for surplus funds and is an ideal investment for
initiating SIP/STP to other quant MF schemes. This scheme is ideal for risk-averse investors with very low risk
appetite. The Liquid Fund has delivered a return of 23.92% and outperformed its benchmark by ~94.63bps in
the period March 24, 2020 and March 31, '24.
Credit Risk →
Residual/Average Maturity 36 Days EXIM Bank CP 16-May-2024 4.91 B-I -A Scheme with Relatively Low Interest Rate Risk and Moderate Credit Risk.
Portfolio Information
Modified Duration                                                                     33 Days      Tata Cap Housing Fin Ltd CP 29-May-2024                                      4.90   Scheme Name                        quant Liquid Fund
                                                                                                                                                                                       Description                        The investment objective of the scheme is to generate income through a portfolio comprising
Macaulay Duration                                                                     35 Days      Larsen & Toubro Ltd CP 10-Jun-2024                                           4.89                                      money market and debt instruments. There is no assurance that the investment objective of the
                                                                                                                                                                                                                          Scheme will be realized.
FUND MANAGERS Bajaj Housing Finance Ltd CP 10-Apr-2024 2.47 As on (Date) March 31, 24
                                                                                                                                                         SCHEME RETURNSˆ
                                                                                                                                    Scheme                       Benchmark                                    Value of Rs.10,000 invested
                                                                                                             Period
                                                                                                                                   Return (%)                    Return (%)                            Scheme                                                             Benchmark
                                                                                                   7 Days return                      0.21%                         0.13%                                 10,021                                                                   10,013
                                                                                                   15 Days return                     0.35%                         0.30%                                 10,035                                                                   10,030
                                                                                                   1 month return                     0.61%                         0.62%                                 10,061                                                                   10,062
                                                                                                   3 month return                     1.76%                         1.83%                                 10,176                                                                   10,183
                                                                                                   6 month return                     3.47%                         3.66%                                 10,347                                                                   10,366
                                                                                                   YTD return                         1.73%                         1.81%                                 10,173                                                                   10,181
                  BENCHMARK INDEX
                                                                                                   1 year return                      6.88%                         7.31%                                 10,688                                                                   10,731
              CRISIL LIQUID FUND B1 INDEX
                                                                                                   3 year return                      5.39%                         5.60%                                 11,704                                                                   11,775
                                                                                                   5 year return                      5.46%                         5.45%                                 13,043                                                                   13,037
       Scheme Riskometer                                     Benchmark Riskometer
                                                                                                   Since Inception*                   7.48%                         6.86%                                 37,969                                                                   34,122
                                                                                                   Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                   into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
     *Investors should consult their financial advisers if in doubt about whether the product is   Business Day of each month.
                                          suitable for them
                                                                                                   *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
quant Overnight Fund Invests entirely in overnight debt and money market instruments with 1 day maturity.
The scheme offers a convenient parking place for surplus funds and is an ideal investment for initiating
SIP/STP to other quant MF schemes. This scheme is ideal for risk averse investors with very low risk appetite.
The scheme has delivered a return of 9.51% and outperformed its benchmark by ~47.66bps in the period
December 05, 2022 and March 31, '24.
Credit Risk →
              RISK ADJUSTED MEASURES                                                              Cash & Other Receivable                                            -6.97   Moderate (Class II)
                                                                                                                                                                             Relatively High (Class III)
Residual/Average Maturity 5 Days Total Cash & Other Receivable 100.00 A-I - A Scheme with Relatively Low Interest Rate Risk and Low Credit Risk.
Portfolio Information
Modified Duration                                                                       4 Days    Grand Total                                                       100.00   Scheme Name                        quant Overnight Fund
                                                                                                                                                                             Description                        The investment objective of the scheme is to generate returns by investing in debt and money
Macaulay Duration                                                                       4 Days                                                                                                                  market instruments with overnight maturity. However, there can be no assurance that the
                                                                                                                                                                                                                investment objective of the Scheme will be realized.
                          FUND MANAGERS
                                                                                                                                                                             As on (Date)                       March 31, 24
                             Sanjeev Sharma
                  MINIMUM INVESTMENT
             5000/- and multiple of Re. 1/
              SUBSEQUENT INVESTMENT
            1000/- and multiple of Re. 1/-
           NAV Details : Please click here
                          LOAD STRUCTURE
                         Entry :Nil |Exit : Nil
                                                                                                                                                     SCHEME RETURNSˆ
                                                                                                                                   Scheme                Benchmark                                  Value of Rs.10,000 invested
                                                                                                            Period
                                                                                                                                  Return (%)             Return (%)                          Scheme                                                              Benchmark
                                                                                                  7 Days return                      0.19%                  0.11%                               10,019                                                                   10,011
                                                                                                  15 Days return                     0.34%                  0.28%                               10,034                                                                   10,028
                                                                                                  1 month return                     0.57%                  0.56%                               10,057                                                                   10,056
                                                                                                  3 month return                     1.72%                  1.67%                               10,172                                                                   10,167
                                                                                                  6 month return                     3.64%                  3.41%                               10,364                                                                   10,341
                                                                                                  YTD return                         1.70%                  1.65%                               10,170                                                                   10,165
                    BENCHMARK INDEX
                                                                                                  1 year return                      7.20%                  6.85%                               10,720                                                                   10,685
                  CRISIL OVERNIGHT INDEX
                                                                                                  3 year return                       N.A.                   N.A.                                  N.A.                                                                      N.A.
                                                                                                  5 year return                       N.A.                   N.A.                                  N.A.                                                                      N.A.
      Scheme Riskometer                                     Benchmark Riskometer
                                                                                                  Since Inception*                   6.96%                  6.76%                               10,931                                                                   10,904
                                                                                                  Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                  into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
    *Investors should consult their financial advisers if in doubt about whether the product is   Business Day of each month.
                                         suitable for them
                                                                                                  *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
quant Gilt Fund Invests in Central and State government securities across maturities and other debt
instruments. The fund takes duration calls basis the underlying interest rate view and actively manages
interest rate risk. It aims to play across the interest rate curve by investing in G-secs across maturities to
generate capital gains. This scheme is ideal for risk-averse investors with very low risk appetite. This scheme
has delivered a return of 9.79% between December 22, 2022 and March 31, '24.
Credit Risk →
               RISK ADJUSTED MEASURES                                                              GOI FRB 04-Oct-2028 (7.69%)                                              12.72    Moderate (Class II)
                                                                                                                                                                                     Relatively High (Class III)                  A-III
Residual/Average Maturity 1422 Days 7.46% MH SGS- 13-Sep-2033 9.76 A-III - A Scheme with Relatively High Interest Rate Risk and Relatively Low Credit Risk.
Portfolio Information
Modified Duration                                                               1090 Days          5.74% GOI - 15-Nov-2026                                                   8.77   Scheme Name                          quant Gilt Fund
                                                                                                                                                                                    Description                          To generate returns through investments in sovereign securities issued by the Central Government
Macaulay Duration                                                               1135 Days          7.29% GOI SGRB MAT 27-Jan-2033                                            6.47                                        and/or State Government. However, there can be no assurance that the investment objective of
                                                                                                                                                                                                                         the Scheme will be realized.
                                                                                                                                                        SCHEME RETURNSˆ
                                                                                                                                    Scheme                     Benchmark                                    Value of Rs.10,000 invested
                                                                                                             Period
                                                                                                                                   Return (%)                  Return (%)                            Scheme                                                              Benchmark
                                                                                                   6 month return                     3.44%                      4.99%                                  10,344                                                                    10,499
                                                                                                   YTD return                         2.15%                      3.11%                                  10,215                                                                    10,311
                                                                                                   1 year return                      6.85%                      8.63%                                  10,685                                                                    10,863
                                                                                                   3 year return                       N.A.                       N.A.                                     N.A.                                                                       N.A.
                                                                                                   5 year return                       N.A.                       N.A.                                     N.A.                                                                       N.A.
                                                                                                   Since Inception*                   6.63%                      8.36%                                  10,853                                                                    11,078
                   BENCHMARK INDEX
                CRISIL DYNAMIC GILT INDEX
                                                                                                   Past performance may or may not be sustained in the future. Returns are compounded annualized (CAGR). Load is not taken
                                                                                                   into consideration for computation of performance. XIRR formula is used for SIP calculations of Rs. 10,000 invested on 1st
     *Investors should consult their financial advisers if in doubt about whether the product is   Business Day of each month.
                                          suitable for them
                                                                                                   *Since Inception Date = Date of First allotment in the Scheme / Plan. ˆ Returns are for Regular Plan
                                                                   INCEPTION DATE
   The incep on date marks the star ng point from which the fund's performance and history are measured. It is important for investors because it
          provides insight into the fund's track record, allowing them to assess historical performance and other key metrics since incep on.
                                                            PORTFOLIO CONCENTRATION
  This data helps in understanding the extent to which the fund's assets are invested in a limited number of securi es (commonly known as por olio
                                       concentra on). It indicates how diversified or concentrated the por olio is.
 The level of por olio concentra on can impact the fund's risk and return profile. A concentrated por olio may offer the poten al for higher returns if
 the selected securi es perform well, but it also carries higher risks due to the lack of diversifica on. On the other hand, a diversified por olio aims to
   reduce risk by spreading investments across different securi es, poten ally mi ga ng the impact of poor performance from any single security;
               however, it may also limit the poten al for outsized returns if a par cular sector or security experiences significant growth.
                                                            INVESTOR CONCENTRATION
  Investor concentra on refers to the distribu on of AUM among the fund's investors. It's essen ally the extent to which the fund's AUM is held by a
                                rela vely small number of investors versus being spread across a larger investor base.
                                                                 MONEY MANAGERS
 Fund managers are experienced professionals with exper se in financial markets, securi es analysis, and por olio management. Their knowledge and
                       skills are essen al for selec ng suitable investments, managing risk, and op mizing returns for investors.
They are tasked with construc ng and rebalancing the fund's por olio to achieve its investment objec ves. They decide which securi es to buy, hold, or
                                       sell based on market condi ons, economic trends, and the fund's strategy.
                                                                 BENCHMARK INDEX
 Benchmark indices serve as reference points for investors, providing a standard against which they can evaluate a fund's performance. These indices
      represent specific market segments or asset classes and act as benchmarks for measuring the rela ve success of funds. Comparing a fund's
 performance to its benchmark index helps investors gauge how effec vely the fund's manager has achieved investment objec ves and managed risk.
                                                                      RISKOMETER
The risk-o-meter is a standardized tool depicted through a pictorial meter implemented by market regulators to quan fy the level of risk associated with
 inves ng in a par cular fund. It is typically graphic representa on which ranks funds on a scale from low to high risk namely (i) low, (ii) moderately low,
   (iii) moderate, (iv) moderately high and (v) high., helping investors assess the risk profile of a fund before inves ng. By understanding the risk level
 indicated by the risk-o-meter, investors can align their investment decisions with their risk tolerance and financial goals, ensuring they select funds that
                                                          match their preferences for risk and return.
                                                  How to read the Factsheet?
                                                             PORTFOLIO TOP HOLDING
       The Top Holding in a fund refers to the fund's largest investment holdings, typically represen ng the highest alloca on of assets within the
      por olio. For investors, understanding the top holdings is crucial as it provides insight into the fund's investment strategy and the sectors or
      companies the fund manager believes offer the most poten al. By knowing the top holdings, investors can assess the fund's diversifica on,
     concentra on, and alignment with their own investment objec ves. Monitoring changes in Top Holdings over me can also reveal shi s in the
                                                         fund manager's strategy or market trends.
                                                                RELATIVE WEIGHTAGE
 This graph represents how the fund's sectoral exposure differs from the market benchmark. By iden fying over- or underweight sectors, investors can
  gauge the fund manager's ac ve decisions and provide insights into the fund manager's sectoral preferences, devia ons from the benchmark, and
       poten al sources of outperformance or underperformance. This data helps to evaluate the fund's posi oning and sector rota on strategy.
                                                                       EXIT LOAD
 Exit load refers to a fee charged by the fund when an investor redeems or sells their units within a specified period a er purchasing them. This fee is
designed to discourage short-term trading and to cover administra ve costs associated with processing redemp ons. Exit loads are typically expressed
as a percentage of the redeemed amount and vary depending on the scheme and the dura on for which the investment was held. Investors should be
                     aware of exit loads before inves ng as they can affect the overall returns, especially for short-term investments.
                                                              SCHEME PERFORMANCE
By providing the funds' historical performance data, a clear picture is obtained of how the fund has fared in the market across me frames. In line with
   the SEBI Regula ons, fund fact sheet discloses the scheme performance for the 1-year, 3-year, 5-year period and from the scheme incep on date.
Further, the performance of the benchmark index (Total Return Index) is also shared along with the scheme performance for ease of comparison by the
      investors. The scheme performance for the period longer than one year is disclosed in CAGR (Compounded Annual Growth Returns) terms.
                                                                     SIP RETURNS
SIP returns refer to the returns generated by inves ng through a systema c investment plan. SIP is a method of inves ng a fixed amount regularly, into a
  mutual fund scheme. SIP returns reflect the compounded growth of investments made through SIP over a specific period. Since SIP involves inves ng
  fixed amounts at regular intervals, it helps investors benefit from rupee-cost averaging and may poten ally reduce the impact of market vola lity on
                                                                   their investments.
Sortino Ratio:
Definition: The Sortino Ratio is a variation of the Sharpe Ratio, focusing on the downside risk. It considers only the standard deviation of the negative returns (downside
deviation) when assessing risk.
Formula:
Sortino Ratio = (Rp - Rf) / σd
Rp: Average return of the portfolio
Rf: Risk-free rate of return
σd: Downside deviation (standard deviation of negative returns)
Interpretation:
A higher Sortino Ratio indicates better risk-adjusted performance, but it specifically addresses the downside risk.
Jensen's Alpha:
Definition: Jensen's Alpha, also known as the Jensen Index or Jensen's Performance Index, measures the excess return of an investment or portfolio compared to its
expected return, given its level of risk as measured by the capital asset pricing model (CAPM).
Formula:
Jensen's Alpha = Rp - [Rf + βp (Rm - Rf)]
Rp: Actual portfolio return
Rf: Risk-free rate of return
βp: Beta of the portfolio (systematic risk)
Rm: Market return
Interpretation:
A positive Jensen's Alpha suggests that the portfolio has outperformed its expected return based on its level of risk.
R-Squared:
Definition: R-Squared (Coefficient of Determination) measures the proportion of the variation in the portfolio's returns that can be explained by the variation in the
benchmark's returns. It ranges from 0 to 1, where 0 indicates no correlation, and 1 indicates a perfect correlation.
Formula:
Calculated as part of the regression analysis comparing the portfolio's returns to the benchmark's returns.
Interpretation:
A higher R-Squared indicates a stronger correlation between the portfolio and its benchmark.
Downside Deviation:
Definition:
Downside Deviation measures the volatility of the returns that fall below a certain minimum acceptable return or threshold (often the risk-free rate).
Formula:
Standard deviation of returns that are below the threshold.
Interpretation:
A lower downside deviation suggests less volatility in the undesirable direction (below the threshold), indicating better risk management.
Upside Deviation:
Definition:
Upside Deviation measures the volatility of the returns that exceed a certain minimum acceptable return or threshold (often the risk-free rate).
Formula: Standard deviation of returns that are above the threshold.
Interpretation:
A lower upside deviation indicates less volatility in the favorable direction (above the threshold), suggesting a more stable and consistent performance in positive market
conditions.
Example:
Assume the following data for Fund ABC and the benchmark over a specific period:
Jensen's Alpha = Actual Portfolio Return - [Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)]
Jensen's Alpha = 14% - (3% + 1.2 * (10% - 3%)) = 2.6%
$-ICRA’s mutual fund rating methodology is based on evaluating the inherent credit quality of the fund’s portfolio. As a measure of the credit quality of a debt fund’s assets. ICRA uses the concept
of ‘credit scores’. These scores are based on ICRA’s estimates of credit risk associated with each exposure of the portfolio taking into account its maturity. To quantify the credit risk scores, ICRA
uses its database of historical default rates for various rating categories for various maturity buckets. The credit risk ratings incorporate ICRA’s assessment of a debt fund’s published investment
objectives and policies, its management characteristics, and the creditworthiness of its investment portfolio. ICRA reviews relevant fund information on an ongoing basis to support its published
rating opinions. If the portfolio credit score meets the benchmark of the assigned rating during the review, the rating is retained. In an event that the benchmark credit score is breached, ICRA
gives a month’s time to the debt fund manager to bring the portfolio credit score within the benchmark credit score. If the debt fund manager is able to reduce the portfolio credit score within
the benchmark credit score, the rating is retained. If the portfolio still continues to breach the benchmark credit score, the rating is revised to reflect the change in credit quality.
                                                                      Point of Service (PoS) Locations
                                                                                         KFIN Technologies Private Limited
Agartala: Bidurkarta Chowmuhani, J N Bari Road, Tripura ( West ), Agartala - 799001. Agra: 1St Floor, Deepak Wasan Plaza, Behind Holiday Inn, Opp Megdoot Furnitures,Sanjay Place, Agra - 282002. Ahmedabad: 201/202 Shail, Opp:
Madhusudan House, Navrangpura, Ahmedabad - 380006. Ajmer: S. No. 1 & 2, 2Nd Floor, Ajmer Tower, Kutchery Road, Ajmer - 305001. Akola: Yamuna Tarang Complex, Shop No 30, Ground Floor, N. H. No- 06, Akola, Akola - 444004.
Aligarh: 1St Floor, Kumar Plaza, Aligarh - 202001. Allahabad: Rsa Towers, 2Nd Floor, Above Sony Tv Showroom, 57, S P Marg, Civil Lines, Allahabad - 211001. Alleppy: X1V 172, Jp Towers, Mullackal, Ksrtc Bus Stand, Alleppy - 688011. Alwar:
101, Saurabh Tower, Opp. Uit, Near Bhagat Singh Circle, Road No. 2, Alwar - 301001. Ambala: 6349, Nicholson Road, Adjacent Kos Hospitalambala Cant, Ambala - 133001. Amravati: Shop No 13 & 27, Gulshan Plaza, Badnera Road, Near
Bhartiya Mahavidhyalaya, Rajapeth, Amravati - 444605. Amritsar: 72-A, Taylor’S Road, Opp Aga Heritage Club, Amritsar - 143001. Anand: B-42 Vaibhav Commercial Center, Nr Tvs Down Town Shrow Room , Grid Char Rasta, Anand -
380001. Ananthapur: #15/149,1St Floor, S R Towers, Subash Road, Opp. To Lalitha Kala Parishad, Anantapur - 515001. Ankleshwar: L/2 Keval Shopping Center, Old National Highway, Ankleshwar, Ankleshwar - 393002. Asansol: 114/71 G
T Road, Near Sony Centre, Bhanga Pachil, Asansol - 713303. Aurangabad: Ramkunj Niwas, Railway Station Road, Near Osmanpura Circle, Aurangabad - 431005. Azamgarh: 1St Floor, Alkal Building, Opp. Nagaripalika Civil Line, Azamgarh -
276001. Balasore: Gopalgaon, M.S Das Street, Gopalgaon, Balasore, Orissa, Balasore - 756001. Bangalore: 59, Skanda puttanna Road, Basavanagudi, Bangalore - 560004. Bankura: Ambika Market Complex (Ground Floor), Nutanganj,
Post & Dist Bankura, Bankura - 722101. Bareilly: 1St Floor, 165, Civil Linesopp. Hotel Bareilly Palace, Near Railway Station, Bareilly - 243001. Barhampore (Wb): Thakur Market Complex, Gorabazar, Post Berhampore Dist
Murshidabad, 72 No Nayasarak Road, Barhampore (Wb) - 742101. Baroda: Sb-5, Mangaldeep Complex, Opp. Masonic Hall, Productivity Road, Alkapuri, Baroda - 390007. Begusarai: Near Hotel Diamond Surbhi Complex, O.C Township Gate,
Kapasiya Chowk, Begusarai - 851117. Belgaum: Cts No 3939/ A2 A1, Above Raymonds Show Room |Beside Harsha Appliances, Club Road, Belgaum - 590001. Bellary: No. 1, Khb Colony, Gandhi Nagar, Bellary - 583103. Berhampur (Or):
3rd Lane Dharam Nagar, Opp – Divya Nandan Kalyan Mandap, Near Lohiya Motor, Orissa, Berhampur (Or) - 760001. Betul: 107,1St Floor, Hotel Utkarsh, | J. H. College Road, Betul - 460001. Bhagalpur: 2Nd Floor, Chandralok Complex,
Ghantaghar, Radha Rani Sinha Road, Bhagalpur - 812001. Bharuch: Shop No 147-148, Aditya Complex, Near Kasak Circle, Bharuch - 392001. Bhatinda: #2047-A 2Nd Floor, The Mall Road, Above Max New York Life Insurance, New Delhi -
151001. Bhavnagar: G-11 Giranjali Complex, Beside Bhavnagar Municipal Corporation & Collector Office, Kalanala, Bhavnagar - 364001. Bhilai: Shop No -1, First Floor, Plot No -1, Commercial Complex, Nehru Nagar - East, Bhilai - 490020.
Bhilwara: Shop No. 27-28, 1St Floor, Heera Panna Market, Pur Road, Bhilwara - 311001. Bhopal: Kay Kay Business Centre, 133, Zone I, Mp Nagar, Above City Bank, Bhopal - 462011. Bhubaneswar: A/181, Back Side Of Shivam Honda
Show Room, Saheed Nagar, Bhubaneswar - 751007. Bikaner: 70-71, 2Nd Floor | Dr.Chahar Building, Panchsati Circle, Sadul Ganj, Bikaner - 334001. Bilaspur: Shop No-201 & 202, 1St Floor, V R Plaza, Link Road, Bilaspur, C. G. Bilaspur -
495001. Bokaro: B-1, 1St Floor, City Centre, Sector - 4, Near Sona Chandi Jwellars, Bokaro - 827004. Burdwan: 63 Gt Road, Halder Complex 1St Floor, Burdwan - 713101. Calicut: Iind Floor Soubhagya Shopping Complex,
Arayidathpalam, Mavoor Road, Calicut - 673004. Chandigarh: Sco-371-372S, Above Hdfc Bank, Sector 35-B, Chandigarh - 160036. Chandrapur: Shop No-6, Office No-2 1St Floor, Rauts Raghuvanshi Complex, Beside Azad Garden Main
Road, Chandrapur - 442402. Chennai: F-11, Akshaya Plaza, 1St Floor, 108, Adhithanar Salai, Egmore, Opp To Chief Metropolitan Court, Chennai - 600002. Chinsura: J C Ghosh Saranu, Bhanga Gara, Chinsurah, Hooghly, Chinsurah -
712101. Cochin: Ali Arcade, 1St Floor, Kizhavana Road, Panampilly Nagar, Near Atlantis Junction, Ernakualm - 682036. Coimbatore: 1057/1058 Jaya Enclave, 2nd Floor, Avinashi Road, Coimbatore - 641018. Cuttack: Po - Buxi Bazar,
Cuttack, Opp Dargha Bazar, Dargha Bazar, Cuttack - 753001. Darbhanga: Jaya Complex, 2Nd Floor, Above Furniture Planet, Donar, Chowk, Darbhanga - 846003. Davangere: 376/2, 4th Main, 8th Cross, P J Extn, Davangere - 577002.
Dehradun: Kaulagarh Road, Near Sirmaur Margabove, Reliance Webworld, Dehradun - 248001. Deoria: 1St Floor, 1St Floor, Opp. Zila Panchayat, Civil Lines, Deoria - 274001. Dewas: 27 Rmo House, Station Road, Above Maa Chamunda
Gaes Agency, Dewas - 455001. Dhanbad: 208 New Market 2Nd Floor, Bank More, Dhanbad - 826001. Dharwad: G, 7&8 Banashankari Avenue, Opp Nttf,, P B Road, Dharwad - 580001. Dhule: Ashoka Estate, Shop No. 14/A, Upper Ground
Floor, Sakri Road, Opp. Santoshi Mata Mandir, Dhule - 424001. Dindigul: No : 9 Old No: 4/B, New Agraharam, Palani Road, Dindigul - 624001. Durgapur: 1St Floor, Old Dutta Automobile Bldg, Nachan Road, Benachity, Durgapur - 713213.
Eluru: D.No: 23B-5-93/1, Savithri Complex, Edaravari Street, Near Dr.Prabhavathi Hospital,R. R. Pet, Eluru - 534002. Erode: No: 4, Veerappan Traders Complex, KMY Salai, Sathy Road, Opp. Erode Bus Stand, Erode - 638003. Faridabad: A-
2B, Ist Floor, Nehru Groundnit, Faridabad - 121001. Ferozpur: The Mall Road, Chawla Bulding, Ist Floor, Opp. Centrail Jail, Near Hanuman Mandir, Ferozepur - 152002. Gandhidham: 203 2Nd Floor, Bhagwati Chamber, Kutchkala Road,
Gandhidham - 370201. Gandhinagar: Plot No - 945/2, Sector - 7/C, Opp Pathika, Gandhinagar - 382007. Gaya: 1St Floor Lal Bhawan, Tower Chowk, Near Kiran Cinema, Gaya - 823001. Ghaziabad: 1St Floorc-7, Lohia Nagar, Ghaziabad -
201001. Ghazipur: 2Nd Floor, Shubhra Hotel Complex, Mahaubagh, Ghazipur - 233001. Gonda: Shri Market, Sahabgunj, Station Road, Gonda - 271001. Gorakhpur: Above V. I. P. Houseajdacent, A.D. Girls College, Bank Road, Gorakpur -
273001. Gulbarga: Cts No 2913 1St Floor, Asian Towers, Jagath Station Main Road, Next To Adithya Hotel, Gulbarga - 585105. Guntur: D No 6-10-27, Srinilayam, Arundelpet, 10/1, Guntur - 522002. Gurgaon: Shop No.18, Ground Floor,
Sector - 14, Opp. Akd Tower, Near Huda Office, Gurgaon - 122001. Guwahati: 54 Sagarika Bhawan 2Nd Floor, R G Barooah Road, Aidc, Near Baskin Robbins, Guwahati - 781024. Gwalior: 37/38, Lashkar, Mlb Roadshinde Ki Chhawani, Near
Nadi Gate Pul, Gwalior - 474001. Haldwani: Above Kapilaz, Sweet House, Opp Lic Building, Pilikothi, Haldwani - 263139. Haridwar: 8, Govind Puri, Opp. LIC - 2, Above Vijay Bank, Main Road, Ranipur More, Haridwar - 249401. Hassan: St
Anthony’S Complex, Ground Floor, H.N. Pura Road, Hassan - 573201. Hissar: Sco-71, 1St Floor, Red Square Market, Hissar - 125001. Hoshiarpur: 1St Floor, The Mall Tower, Opp Kapila Hospital, Sutheri Road, Hoshiarpur - 146001. Hubli:
22Nd & 23Rd, 3Rd Floor, Eureka Junction, Travellers Bunglow, Hubli - 580029. Hyderabad: 8-2-596, Avenue 4, Karvy Plaza, Street No 1, Banjara Hills, Hyderabad - 500034. Indore: 213 B City Center, M.G. Road, Opp. High Court, Indore -
452001. Jabalpur: Grover Chamber, 43 Naya Bazar Malviya Chowk, Opp Shyam Market, Jabalpur - 482002. Jaipur: S16/A Iiird Floor, Land Mark Building Opp Jai Club, Mahaver Marg C Scheme, Jaipur - 302001. Jalandhar: Arora Prime Tower,
Lowe Ground Floor, Office No 3 Plot No 28, Jalandhar - 144001. Jalgaon: 113, Navi Peth, B/H Mahalaxmi Dairy, Jalgaon - 425001. Jalpaiguri: D B C Road Opp Nirala Hotel, Opp Nirala Hotel, Jalpaiguri - 735101. Jammu: 5 A/D Extension 2, Near
Panama Chowk Petrol Pump, Panama Chowk, Jammu - 180012. Jamnagar: 108 Madhav Palaza, Opp Sbi Bank, Nr Lal Bunglow, Jamnagar - 361001. Jamshedpur: Kanchan Tower, 3Rd Floor, Main Road, Bistupur, Near Traffic Signal,
Jamshedpur - 831001. Jaunpur: R N Complex, 1-1-9-G, In Front Of Pathak Honda, Ummarpur, Jaunpur - 222002. Jhansi: 371/01, Narayan Plaza,Gwalior Road, Near Jeevan Shah Chauraha, Jhansi - 284001. Jodhpur: 203, Modi Arcade,
Chopasni Road , Jodhpur - 342001. Junagadh: 124-125 Punit Shopping Center, M.G Road, Ranavav Chowk, Junagadh - 362001. Kannur: 2 Nd Floor, Prabhath Complex, Fort Road, Nr. Icici Bank, Kannur - 670001. Kanpur: 15/46, B,
Ground Floor, Opp: Muir Mills, Civil Lines, Kanpur - 208001. Karaikudi: Gopi Arcade, 100 Feet Road, Karaikudi - 630001. Karimnagar: H.No.4-2-130/131, Above Union Bank, Jafri Road, Rajeev Chowk, Karimnagar - 505001. Karnal: 18/369,
Char Chaman, Kunjpura Road, Behind Miglani Hospital, Karnal - 132001. Karur: No.6, old No.1304, Thiru-vi-ka Road, Near G.R. Kalyan Mahal, Karur - 639001. Kharagpur: 180 Malancha Road, Beside Axis Bank Limited, Kharagpur -
                                                  Nd
721304. Kolhapur: 605/1/4 E Ward, Shahupuri 2 Lane, Laxmi Niwas, Near Sultane Chambers, Kolhapur - 416001. Kolkata: 166 A Rashbihari Avenue 2Nd Floor, Opp - Fortish Hospital, Kolkata - 700029. Kollam: Sree Vigneswara Bhavan,
Shastri Junction, Kollam - 691001. Korba: 1St Floor, 35, Indira Complex, P. Nagar, Korba - 495677. Kota: 29, Ist Floor, Near Lala Lajpat Rai Circle, Shopping Centre, Kota - 324007. Kottayam: 1St Floor Csiascension Square, Railway Station
Road, Collectorate P O, Kottayam - 686002. Kurnool: Shop No.43, 1St Floor, S V Complex, Railway Station Road, Near Sbi Main Branch, Kurnool - 518004. Lucknow: 24, Prem Nagar, Ashok Marg, Lucknow - 226001. Ludhiana: Sco - 136, 1St
Floor Above Airtel Showroom, Feroze Gandhi Market, Ludhiana - 141001. Madurai: Rakesh towers, 30-C, Ist floor, Bye pass Road, Opp Nagappa motors, Madurai - 625010. Malappuram: First Floor, Cholakkal Building, Near U P School, Up Hil,
Malappuram - 676505. Malda: Sahis Tuli, Under Ward No.6, No.1 Govt Colony, English Bazar Municipality, Malda - 732101. Mandi: 149/11, School Bazaar, Mandi - 175001. Mangalore: Mahendra Arcade Opp Court Road, Karangal Padi,
Mangalore - 575003. Margoa: 2Nd Floor, Dalal Commercial Complex, Pajifond, Margao - 403601. Mathura: Ambey Crown, Iind Floor, In Front Of Bsa College, Gaushala Road, Mathura - 281001. Meerut: 1St Floor, Medi Centreopp Icici
Bank, Hapur Road Near Bachha Park, Meerut - 250002. Mehsana: Ul/47 Apollo Enclave, Opp Simandhar Temple, Modhera Cross Road, Mehsana - 384002. Mirzapur: Girja Sadan, Dawari Gunj, Mirzapur - 231001. Moga: 1St Floor,Dutt
Road, Mandir Wali Gali, Civil Lines, Barat Ghar, Moga - 142001. Moradabad: Om Arcade, Parker Road, Above Syndicate Bank,Chowk Tari Khana, Moradabad - 244001. Morena: Moti Palace, Near Ramjanki Mandir, Near Ramjanki Mandir,
Morena - 476001. Mumbai: 24/B, Raja Bahadur Compound, Ambalal Doshi Marg, Behind Bse Bldg, Fort - 400001. Muzaffarpur: I St Floor, Uma Market, Thana Gumtimoti Jheel, Muzaffarpur - 842001. Mysore: L-350,Silver Tower,
Ashoka Road, Opp.Clock Tower, Mysore - 570001. Nadiad: 104/105, Near Paras Cinema, City Point Nadiad, Nadiad - 387001. Nagerkoil: 3A, South Car Street, Nagercoil - 629001. Nagpur: Plot No 2/1 House No 102/1, Mata Mandir Road,
Mangaldeep Appartment Opp Khandelwal Jewelers, Dharampeth, Nagpur - 440010. Namakkal: 105/2, Arun Towers, Paramathi Street, Namakkal - 637001. Nanded: Shop No.4, Santakripa Market, G G Road, Opp. Bank Of India, Nanded -
431601. Nasik: S-12,Suyojit Sankul, Sharanpur Road, Near Rajiv Gandhi Bhavan, Nasik - 422002. Navsari: 1/1 Chinmay Aracade, Opp Sattapir Rd, Tower Rd, Mavsari - 396445. Nellore: 16-2-230, Room No : 27, 2Nd Floor, Keizen Heights,
Gandhi Nagar, Pogathota, Nellore - 524001. New Delhi: 305 New Delhi House, 27 Barakhamba Road, New Delhi - 110001. Nizamabad: H No:5-6-430, A Bove Bank Of Baroda First Floor, Beside Hdfc Bank, Hyderabad Road, Nizamabad
- 503003. Noida: 307 Jaipuria Plazad 68 A, 2Nd Floor, Opp Delhi Public School, Sector 26, Noida - 201301. Palghat: No: 20 & 21, Metro Complex H.P.O.Road Palakkad, H.P.O.Road, Palakkad - 678001. Panipat: 1St Floor,, Krishna Tower,
Above Amertex, G.T. Road, Panipat - 132103. Panjim: City Business Centre, Coelho Pereira Building, Room No 18,19 & 20, Dada Vaidya Road, Panjim - 403001. Pathankot: 1St Floor, 9 A, Improvement Trust Building, Patel Chowk,
Pathankot - 145001. Patiala: Sco 27 D, Chotti Baradari, Near Car Bazaar, Patiala - 147001. Patna: 3A, 3Rd Floor Anand Tower, Exhibition Road, Opp Icici Bank, Patna - 800001. Pollachi: S S Complex, New Scheme Road, Pollachi - 642002.
Pondicherry: No:7, Thiayagaraja Street, Pondicherry - 605001. Proddatur: Shop No:4, Araveti Complex, Mydukur Road, Beside Syndicate Bank, Proddatur - 516360. Pudukottai: Sundaram Masilamani Towers, Ts No. 5476 - 5479, Pm
Road, Old Tirumayam Salai, Near Anna Statue, Jublie Arts, Pudukottai - 622001. Pune: Office # 16, Ground Floor, Shrinath Plaza, Near Dyaneshwar Paduka Chowk, F C Road, Pune - 411005. Raipur: 2 & 3 Lower Level, Millenium Plaza, Room
No. Ll 2& 3, Behind Indian Coffee House, Raipur - 492001. Rajahmundry: D.No.6-1-4, Rangachary Street, T. Nagar, Near Axis Bank Street, Rajahmundry - 533101. Rajapalayam: Sri Ganapathy Complex, 14B/5/18, T P Mills Road,
Rajapalayam - 626117. Rajkot: 104, Siddhi Vinyak Com. Opp Ramkrishna Ashram, Dr Yagnik Road, Rajkot - 360001. Ranchi: Room No 307 3Rd Floor, Commerce Tower, Beside Mahabir Tower, Ranchi - 834001. Ratlam: 1 Nagpal Bhawan,
Free Ganj Road , Do Batti, Near Nokia Care, Ratlam - 457001. Renukoot: Shop No.18, Near Complex Birla Market, Renukoot - 231217. Rewa: Ist Floor, Angoori Building, Besides Allahabad Bank, Trans University Road, Civil Lines, Rewa -
485001. Rohtak: 1St Floor, Ashoka Plaza, Delhi Road, Rohtak - 124001. Roorkee: Shree Ashadeep Complex, 16, Civil Lines, Near Income Tax Office, Roorkee - 247667. Rourkela: 1St Floor Sandhu Complex, Kachery Road, Uditnagar,
Rourekla - 769012. Sagar: Above Poshak Garments, 5 Civil Lines, Infront Of Income Tax Office, Sagar - 470002. Saharanpur: 18 Mission Market, Court Road, Saharanpur - 247001. Salem: No:40, 2nd Floor, BrindavanRoad, Fairlands, Near
Perumal Koil, Salem - 636016. Sambalpur: Ground Floor Quality Massion, Sambalpur - 768001. Satna: 1St Floor, Gopal Complex, Near Bus Stand, Rewa Road, Satna - 485001. Shaktinagar: 1St/A-375, V V Colony, Dist Sonebhadra,
Shaktinagar - 231222. Shillong: Annex Mani Bhawan, Lower Thana Road, Near R K M Lp School, Shillong - 793001. Shimla: Triveni Building, By Pas Chowkkhallini, Shimla - 171002. Shimoga: Udaya Ravi Complex, LLR Road, Durgi Gudi,
Shimoga - 577201. Shivpuri: 1St Floor, M.P.R.P. Building, Near Bank Of India, Shivpuri - 473551. Sikar: First Floor, Super Tower, Behind Ram Mandir Near Taparya Bagichi, Sikar - 332001. Silchar: N.N. Dutta Road, Chowchakra Complex,
Premtala, Silchar - 788001. Siliguri: Nanak Complex, Sevoke Road, Siliguri - 734001. Sitapur: 12/12-A Sura Complex, Arya Nagar Opp, Mal Godam, Sitapur - 261001. Sivakasi: 363, Thiruthangal Road, Opp: TNEB, Sivakasi - 626123.
Solan: Sahni Bhawan, Adjacent Anand Cinema Complex, The Mall, Solan - 173212. Solapur: Block No 06, Vaman Nagar, Opp D-Mart, Jule Solapur - 413004. Sonepat: 205 R Model Town, Above Central Bank Of India, Sonepat - 131001. Sri
Ganganagar: 35E Block, Opp: Sheetla Mata Vaateka Sri Ganganagar, Sri Ganganagar - 335001. Srikakulam: D.No-4-1-28/1, Venkateswara Colony, Near Income Tax Office, Srikakulam - 532001. Sultanpur: Rama Shankar Complex, Civil
Lines, Faizabad Road, Sultanpur - 228001.Surat: G-5 Empire State Buliding, Nr Udhna Darwaja, Ring Road, Surat - 395002. Thanjavur: No. 70, Nalliah Complex, Srinivasam Pillai Road, Tanjore - 613001. Thodupuzha: First Floor,
Pulimoottil Pioneer, Pala Road, Thodupuzha - 685584. Tirunelveli: 55/18, Jeney Building, S N Road, Near Aravind Eye Hospital, Tirunelveli - 627001. Tirupathi: Flot No: 16, 1St Floor, R C Road, Near Palani Theater, Tirupathi - 517501.
Tirupur: First floor, 224 A, Kamaraj Road, Opp to Cotton market complex, Tirupur - 641604. Tiruvalla: 2Nd Floor, Erinjery Complex, Ramanchira, Opp Axis Bank, Thiruvalla - 689107. Trichur: 2Nd Floor, Brothers Complex, Naikkanal Junction,
Shornur Road, Near Dhanalakshmi Bank H O, Thrissur - 680001. Trichy: 60, Sri Krishna Arcade, Thennur High Road, Trichy - 620017. Trivandrum: 2Nd Floor, Akshaya Tower, Sasthamangalam, Trivandrum - 695010. Tuticorin: 4 - B, A34 -
A37, Mangalmal Mani Nagar, Opp. Rajaji Park, Palayamkottai Road, Tuticorin - 628003. Udaipur: 201-202, Madhav Chambers, Opp G P O, Chetak Circle, Udaipur - 313001. Ujjain: 101 Aashta Tower, 13/1 Dhanwantri Marg, Freeganj, Ujjain -
456010. Valsad: Shop No 2, Phiroza Corner, Opp Next Show Room, Tithal Road, Valsad - 396001. Vapi: Shop No-12, Ground Floor, Sheetal Appatment, Near K P Tower, Vapi - 396195. Varanasi: D-64/1321St Floor, Anant Complex,
Sigra, Varanashi - 221010. Vellore: 1, M N R Arcade, Officers Line, Krishna Nagar, Vellore - 632001. Vijayanagaram: Soubhagya, 19-6-1/3, 2Nd Floor, Near Fort Branch, Opp: Three Temples, Vizianagaram - 535002. Vijayawada: 39-
10-7, Opp : Municipal Water Tank, Labbipet, Vijayawada - 520010. Visakhapatnam: Door No 47-14-5/1, Eswar Paradise, Dwarakanagar Main Road, Visakhapatnam - 530016. Warangal: 5-6-95, 1 St Floor, Opp: B.Ed Collage, Lashkar Bazar,
Chandra Complex, Hanmakonda, Warangal - 506001. Yamuna Nagar: Jagdhari Road, Above Uco Bank, Near D.A.V. Girls College, Yamuna Nagar - 135001.
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