- Scheme Category:
- Equity Scheme >
- Sectoral/Thematic Funds
NAV: ₹ 13.1393 ↑ 0.14%
[as on 14 November, 2025]
NAV chart with SMA (Simple moving average) overlay
SMA (Simple Moving Average)
Returns
| Name | YTD | 1D | 1W | 1M | 3M | 1Y | 3Y | 5Y | 7Y | 10Y |
|---|
| quant Commodities Fund - Growth Option - Regular Plan | -5.32% | 0.14% | 0.28% | 0.7% | 4.96% | -2.75% | - | - | - | - |
Portfolio
Asset allocation
| Equity | Debt | Realestate | Commodities | Cash & Equivalents |
|---|
| 85.71% |
1.42% (Arbitrage: 0.00%) |
0.00% |
0.00% |
1.72% |
Equity
| Name | Symbol / ISIN | Sector | Weight % | Quantity | Qty change % |
|---|
| Adani Green Energy Limited | ADANIGREEN (INE364U01010) | Power | 10.55% | 358042 | - |
| Adani Power Limited | ADANIPOWER (INE814H01029) | Power | 9.81% | 2363967 | - |
| Oil and Natural Gas Corporation Ltd. | ONGC (INE213A01029) | Oil | 9.53% | 1386375 | - |
| Tata Power Company Limited | TATAPOWER (INE245A01021) | Power | 9.42% | 844282 | - |
| Bajaj Finance Limited | BAJFINANCE (INE296A01032) | Finance | 8.57% | 298898 | - |
| Bayer Cropscience Ltd | BAYERCROP (INE462A01022) | Fertilizers & Agrochemicals | 7.41% | 53695 | - |
| GAIL (India) Limited | GAIL (INE129A01019) | Gas | 6.17% | 1219459 | - |
| Lloyds Metals And Energy Limited | LLOYDSME (INE281B01032) | Minerals & Mining | 5.22% | 148600 | - |
| Sumitomo Chemical India Limited | SUMICHEM (INE258G01013) | Fertilizers & Agrochemicals | 4.46% | 291204 | - |
| Kalyani Steels Ltd | KSL (INE907A01026) | Industrial Products | 4.05% | 185140 | - |
| BASF India Ltd | BASF (INE373A01013) | Chemicals & Petrochemicals | 3.09% | 24450 | - |
| Laxmi Organic Industries Limited | LXCHEM (INE576O01020) | Chemicals & Petrochemicals | 2.28% | 384464 | -76.45% |
| Adani Energy Solutions Limited | ADANIENSOL (INE931S01010) | Power | 2.19% | 87453 | - |
| Adani Enterprises Limited | ADANIENT (INE423A01024) | Metals & Minerals Trading | 1.97% | 27356 | - |
| Power Grid Corporation of India Limited | POWERGRID (INE752E01010) | Power | 0.99% | 123084 | - |
Debt
| Name | Rating | Weight % |
|---|
| 91 Days Treasury Bill 04-Dec-2025 | N.A. | 0.85% |
| 91 Days Treasury Bill 18-Dec-2025 | N.A. | 0.57% |
Portfolio data is as on date 30 September, 2025
NAV (Net asset value) history
quant Commodities Fund - Growth Option - Regular Plan - 30 days NAV history
| Date | NAV |
|---|
| 14 November, 2025 | 13.1393 |
| 13 November, 2025 | 13.1214 |
| 12 November, 2025 | 13.1421 |
| 11 November, 2025 | 13.101 |
| 10 November, 2025 | 13.1334 |
| 7 November, 2025 | 13.1028 |
| 6 November, 2025 | 13.0661 |
| 4 November, 2025 | 13.315 |
| 3 November, 2025 | 13.4472 |
| 31 October, 2025 | 13.4093 |
| 30 October, 2025 | 13.5034 |
| 29 October, 2025 | 13.4635 |
| 28 October, 2025 | 13.2022 |
| 27 October, 2025 | 13.3135 |
| 24 October, 2025 | 13.3383 |
| 23 October, 2025 | 13.3457 |
| 20 October, 2025 | 13.3567 |
| 17 October, 2025 | 13.2904 |
| 16 October, 2025 | 13.2862 |
| 15 October, 2025 | 13.215 |
| 14 October, 2025 | 13.0483 |
| 13 October, 2025 | 13.129 |
| 10 October, 2025 | 13.1228 |
| 9 October, 2025 | 13.1058 |
| 8 October, 2025 | 13.0073 |
| 7 October, 2025 | 13.1123 |
| 6 October, 2025 | 13.1339 |
| 3 October, 2025 | 13.0775 |
| 1 October, 2025 | 12.9814 |
| 30 September, 2025 | 12.777 |
FAQ (Frequently asked questions)
What is latest/current NAV/price of quant Commodities Fund - Growth Option - Regular Plan?
The latest NAV of quant Commodities Fund - Growth Option - Regular Plan is 13.1393 as on 14 November, 2025.
What are YTD (year to date) returns of quant Commodities Fund - Growth Option - Regular Plan?
The YTD (year to date) returns of quant Commodities Fund - Growth Option - Regular Plan are -5.32% as on 14 November, 2025.
What are 1 year returns of quant Commodities Fund - Growth Option - Regular Plan?
The 1 year returns of quant Commodities Fund - Growth Option - Regular Plan are -2.75% as on 14 November, 2025.