Quant Mutual Fund is one of India's fastest-growing asset management companies (AMCs), managed by Quant Money Managers Limited. The fund house is known for its dynamic and actively managed investment approach, combining data analytics, macroeconomic research, behavioural finance, quantitative models, and fundamental analysis to identify investment opportunities across market cycles. Registered with the Securities and Exchange Board of India (SEBI), Quant Mutual Fund offers a diversified range of investment solutions across equity, debt, hybrid, and passive fund categories.
Over the years, Quant Mutual Fund has emerged as a prominent player in the Indian mutual fund industry, recognized for its adaptive portfolio management strategy and research-driven investment process. Unlike traditional buy-and-hold investing, the AMC actively adjusts portfolio allocations based on changing market conditions, liquidity trends, economic indicators, and global developments. Its investment solutions are designed to help retail investors, high-net-worth individuals (HNIs), corporates, and institutional investors achieve long-term capital appreciation, tax-efficient investing, portfolio diversification, and effective asset allocation.
Quant Esg Integration Strategy Fund
1Y
3Y
5Y
SI
Nav
Risk
Quant Multi Asset Allocation Fund
1Y
3Y
5Y
SI
Nav
Risk
Quant Healthcare Fund
1Y
3Y
SI
Nav
Risk
Quant Manufacturing Fund
1Y
3Y
SI
Nav
Risk
Quant Flexi Cap Fund
1Y
3Y
5Y
SI
Nav
Risk
Quant Value Fund
1Y
3Y
SI
Nav
Risk
Quant Commodities Fund
1Y
SI
Nav
Risk
Quant ELSS Tax Saver Fund
1Y
3Y
5Y
SI
Nav
Risk
Quant Bfsi Fund
1Y
3Y
SI
Nav
Risk
Quant Small Cap Fund
1Y
3Y
5Y
SI
Nav
Risk
Quant Mutual Fund offers a diversified range of investment solutions across equity, debt, hybrid, liquid, tax-saving, multi-asset, and passive fund categories. Its schemes are designed to help investors achieve financial goals such as long-term wealth creation, capital appreciation, tax-efficient investing, portfolio diversification, and asset allocation. The AMC caters to retail investors, high-net-worth individuals (HNIs), and institutional investors through professionally managed portfolios backed by advanced investment research.
The fund house follows a dynamic investment philosophy that combines quantitative models, macroeconomic analysis, technical indicators, liquidity assessment, behavioural finance, and fundamental research. This flexible investment framework enables Quant Mutual Fund to actively adjust portfolio allocations in response to changing market conditions. The AMC focuses on identifying emerging investment opportunities through data-driven decision-making while maintaining disciplined portfolio management and robust risk management practices.
Quant Mutual Fund offers investment solutions across multiple fund categories, including:
These schemes help investors build diversified portfolios based on their financial goals, investment horizon, and risk tolerance.
Investors can invest in Quant Mutual Fund through multiple convenient channels, including:
Investment options include:
Most Quant Mutual Fund schemes allow investors to start SIPs with a minimum investment of ₹500, subject to scheme-specific terms and conditions. Investors must complete Know Your Customer (KYC) verification before investing, as required under SEBI regulations.
Quant Mutual Fund combines advanced investment research with dynamic portfolio management to identify opportunities across changing market environments. The AMC actively manages portfolios using quantitative models, macroeconomic analysis, behavioural insights, and disciplined risk management to pursue sustainable long-term wealth creation.
Some key reasons investors choose Quant Mutual Fund include:
Sandeep Tandon, Managing Director, leads Quant Mutual Fund. The AMC is supported by an experienced team of fund managers, economists, quantitative analysts, and research professionals who manage diversified portfolios using a disciplined, data-driven investment framework.
Yes. Exit loads, expense ratios, and other applicable charges vary depending on the selected mutual fund scheme. Investors should carefully review the Scheme Information Document (SID), Key Information Memorandum (KIM), and the latest Scheme Factsheet before investing to understand the applicable costs, fees, exit loads, minimum investment requirements, and other scheme-specific terms.
Quant Mutual Fund is a SEBI-registered Asset Management Company (AMC) and operates under the regulatory framework governing mutual funds in India. The AMC follows regulatory compliance requirements, strong governance standards, and disciplined investment processes. However, like all mutual fund investments, returns are subject to market risks and cannot be guaranteed. Due to its actively managed investment strategies, some schemes may experience higher short-term volatility. Investors should evaluate each scheme based on their financial goals, investment horizon, and risk tolerance before investing.
Interested in exploring more about JezzMoney Mutual Fund Distributors Software? Submit the form, and we will respond quickly.