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Historical NAV

NAV Date Scheme Name NAV(₹)
01-Jul-2025 quant Aggressive Hybrid Fund - Direct (G) 469.6183
01-Jul-2025 quant Aggressive Hybrid Fund - Direct (IDCW) 65.0456
01-Jul-2025 quant Aggressive Hybrid Fund (G) 431.3921
01-Jul-2025 quant Aggressive Hybrid Fund (IDCW) 59.5010
01-Jul-2025 quant Arbitrage Fund - Direct (G) 10.1705
01-Jul-2025 quant Arbitrage Fund - Direct (IDCW) 10.1703
01-Jul-2025 quant Arbitrage Fund - Regular (G) 10.1577
01-Jul-2025 quant Arbitrage Fund - Regular (IDCW) 10.1580
01-Jul-2025 quant BFSI Fund - Direct (G) 18.1349
01-Jul-2025 quant BFSI Fund - Direct (IDCW) 18.1559
01-Jul-2025 quant BFSI Fund - Regular (G) 17.5446
01-Jul-2025 quant BFSI Fund - Regular (IDCW) 17.5432
01-Jul-2025 quant Business Cycle Fund - Direct (G) 16.9839
01-Jul-2025 quant Business Cycle Fund - Direct (IDCW) 16.9725
01-Jul-2025 quant Business Cycle Fund - Regular (G) 16.4382
01-Jul-2025 quant Business Cycle Fund - Regular (IDCW) 16.4541
01-Jul-2025 quant Commodities Fund - Direct (G) 13.8233
01-Jul-2025 quant Commodities Fund - Direct (IDCW) 13.8194
01-Jul-2025 quant Commodities Fund - Regular (G) 13.5057
01-Jul-2025 quant Commodities Fund - Regular (IDCW) 13.5037
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