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Scheme Information
Quant Flexi Cap Gr
as of 22 Sep 2026, 04:29 AM
SIP Calculator
Invested Amount
₹6,00,000
Est. Return
₹5,61,695
Total Value
₹11,61,695
Scheme Ratings
rated by Value Research
Scheme Riskometer
Your principal will be at Very High Risk
Investment Returns
Absolute Returns
CAGR
Company Holdings
Company Name | Sector | Instrument | Assets |
|---|---|---|---|
| Samvardhana Motherson International Ltd | Consumer Cyclical | E | 9.63% |
| Adani Enterprises Ltd | Energy | E | 7.87% |
| Adani Power Ltd | Utilities | E | 7.72% |
| Aurobindo Pharma Ltd | Healthcare | E | 7.01% |
| ICICI Prudential Asset Management Co Ltd | Financial Services | E | 5.61% |
| Future on Tata Consultancy Services Ltd | - | DG | 4.54% |
| Future on Reliance Industries Ltd | - | DG | 3.88% |
| Adani Green Energy Ltd | Utilities | E | 3.46% |
| Adani Energy Solutions Ltd | Utilities | E | 3.40% |
| Future on Infosys Ltd | - | DG | 3.32% |
| Future on Tata Power Co Ltd | - | DG | 3.26% |
| Bharti Airtel Ltd | Communication Services | E | 2.83% |
| Tata Power Co Ltd | Utilities | E | 2.77% |
| Future on Glenmark Pharmaceuticals Ltd | - | DG | 2.62% |
| K.P.R. Mill Ltd | Consumer Cyclical | E | 2.11% |
| Alivus Life Sciences Ltd | Healthcare | E | 2.08% |
| Future on Divi's Laboratories Ltd | - | DG | 1.92% |
| JSW Infrastructure Ltd | Industrials | E | 1.84% |
| ICICI Bank Ltd | Financial Services | E | 1.82% |
| Future on Nippon Life India Asset Management Ltd Ordinary Shares | - | DG | 1.76% |
| DLF Ltd | Real Estate | E | 1.75% |
| Swan Corp Ltd | Industrials | E | 1.68% |
| Future on Sona BLW Precision Forgings Ltd | - | DG | 1.41% |
| Future on Zydus Lifesciences Ltd | - | DG | 1.41% |
| LG Electronics India Ltd | Technology | E | 1.36% |
| Zydus Lifesciences Ltd | Healthcare | E | 1.34% |
| Indus Towers Ltd Ordinary Shares | Communication Services | E | 1.22% |
| Future on DLF Ltd | - | DG | 1.17% |
| Piramal Finance Ltd | Financial Services | E | 1.16% |
| Bharat Heavy Electricals Ltd | Industrials | E | 1.13% |
| Sona BLW Precision Forgings Ltd | Consumer Cyclical | E | 0.89% |
| Lloyds Metals & Energy Ltd | Basic Materials | E | 0.62% |
| India (Republic of) | - | GS | 0.48% |
| India (Republic of) | - | GS | 0.47% |
| Aditya Birla Lifestyle Brands Ltd | Consumer Cyclical | E | 0.47% |
| India (Republic of) | - | GS | 0.41% |
| India (Republic of) | - | GS | 0.40% |
| India (Republic of) | - | GS | 0.34% |
| Tata Communications Ltd | Communication Services | E | 0.31% |
| IRB Infrastructure Developers Ltd | Industrials | E | 0.30% |
| Tata Chemicals Ltd | Basic Materials | E | 0.28% |
| India (Republic of) | - | GS | 0.27% |
| India (Republic of) | - | GS | 0.27% |
| India (Republic of) | - | GS | 0.27% |
| India (Republic of) | - | GS | 0.27% |
| India (Republic of) | - | GS | 0.20% |
| India (Republic of) | - | GS | 0.20% |
| Nippon Life India Asset Management Ltd Ordinary Shares | Financial Services | E | 0.18% |
| Treps 01-Sep-2026 Depo 10 | - | CR | 25.58% |
| Nca-Net Current Assets | - | C | 25.31% |
| Indus Infra Trust Unit | - | E | - |
| India (Republic of) | - | GS | - |
| India (Republic of) | - | GS | - |
| AU Small Finance Bank Ltd | - | E | - |
| India (Republic of) | - | GS | - |
| India (Republic of) | - | GS | - |
| Tech Mahindra Ltd | - | E | - |
Sector Holding Analysis
Equity / Debt / Cash Split
Equity
96.14%
Cash
3.86%
Equity sector allocation
Basic Materials
0.9%
Communication Services
4.36%
Consumer Cyclical
14.51%
Energy
11.75%
Financial Services
10.53%
Healthcare
14.44%
Industrials
4.96%
Real Estate
2.92%
Technology
9.22%
Utilities
20.61%
Others
5.8%
Fund House Contact Details
Asset Management Company
Funds in this Category

Nippon India Taiwan Equity Reg Gr
Equity
Min. Investment
₹500
Category Returns
29.60%
63.78%
3Y Returns
+63.78%

DSP Wld Gld Mng Ovrs Eq Omni FoF Gr
Equity
Min. Investment
₹100
Category Returns
29.60%
63.78%
3Y Returns
+45.98%

DSP Wld Gld Mng Ovrs Eq Omni FoF IDCW-R
Equity
Min. Investment
₹100
Category Returns
29.60%
63.78%
3Y Returns
+45.89%
About Quant Flexi Cap Gr
Investment Objective of the Scheme
Key Features of The Fund
5-year return
+13.66%
Fund Manager
Jignesh Shah
Risk Profile
Very High Risk
Expense Ratio
2.18%
Fund Size
₹7363.92 Cr
Quant Flexi Cap Gr Summary
Quant Flexi Cap Gr NAV, Returns, Performance & Details
Quant Flexi Cap Gr is currently priced at ₹108.18, as of 22 Sep 2026, 04:29 AM. The fund has recorded a change of ₹1.51 (1.41%), indicating its recent movement in the market.
Tracking NAV trends helps investors understand short-term price movement, while long-term performance gives a better picture of wealth creation potential.
Quant Flexi Cap Gr Fund Details and Key Information
Quant Flexi Cap Gr is an open-ended mutual fund that invests based on its stated objective and benchmark.
Key details:
Asset Size: ₹7363.92 Cr
Expense Ratio: 2.18%
Cash Holding: 3.86%
Plan Type: Dividend
Benchmark: Nifty 500 TR INR
Launch Date: 2008-08-28
Exit Load: 1.00
These factors help investors evaluate cost, scale, and fund positioning before making an investment decision.
Quant Flexi Cap Gr Returns and Performance
Quant Flexi Cap Gr has delivered returns across multiple timeframes, reflecting its ability to perform across different market conditions.
Returns:
1 Month: -1.18%
3 Months: -0.36%
6 Months: 15.90%
1 Year: 10.84%
3 Years: 0.49%
5 Years: 0.90%
Short-term returns indicate recent momentum, while long-term returns show consistency and wealth creation ability.
Quant Flexi Cap Gr Risk Level and Volatility
Understanding risk is important before investing. Quant Flexi Cap Gr falls under: For investors in the 20–40 age group, selecting a fund with the right risk level is important based on financial goals, investment horizon, and comfort with market movements.
Risk Level: Very High Risk
The riskometer helps investors understand how stable or volatile the fund can be based on its investment strategy and asset allocation. Funds with higher risk levels may offer better return potential over time, but they can also experience sharper short-term fluctuations. This classification reflects the volatility associated with the fund. Higher risk funds may offer higher returns but come with greater fluctuations.
Quant Flexi Cap Gr Portfolio Allocation
The asset allocation of Quant Flexi Cap Gr shows how investments are distributed across asset classes.
Equity Allocation: 96.14%
Cash Allocation: 3.86%
This allocation plays a key role in determining the fund’s risk and return profile.
Quant Flexi Cap Gr Sector Allocation
Quant Flexi Cap Gr diversifies its investments across sectors to reduce risk.
Sector Holding Detail
Basic Materials: 0.90%
Communication Services: 4.36%
Consumer Cyclical: 14.51%
Energy: 11.75%
Financial Services: 10.53%
Healthcare: 14.44%
Industrials: 4.96%
Real Estate: 2.92%
Technology: 9.22%
Utilities: 20.61%
Sector allocation data helps investors understand which industries the fund is focusing on.
Quant Flexi Cap Gr Fund House
Quant Flexi Cap Gr is managed by:
AMC Name: Quant Money Managers Limited
A strong fund house with a proven track record can improve investor confidence.
Quant Flexi Cap Gr Minimum Investment
Investors can start investing in Quant Flexi Cap Gr with:
Minimum Investment: ₹5,000
This makes the fund accessible for both beginners and experienced investors.
FAQ's
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In which sectors has Quant Flexi Cap Gr invested in?
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