quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan

  • Scheme Category:  
  • Hybrid Scheme >  
  • Dynamic Asset Allocation Fund
NAV: ₹ 16.6735 ↑ 0.42%
[as on 5 December, 2025]

NAV chart with SMA (Simple moving average) overlay

SMA (Simple Moving Average)

  • 100 SMA
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Returns

NameYTD1D1W1M3M1Y3Y5Y7Y10Y
quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan 3.61% 0.42% -0.35% -0.32% 2.85% 0.95%----

Portfolio

Asset allocation

EquityDebtRealestateCommoditiesCash & Equivalents
73.30% 9.73% (Arbitrage: 0.00%) 0.00% 0.00% 4.89%

Equity

NameSymbol / ISINSectorWeight %QuantityQty change %
State Bank of IndiaSBIN (INE062A01020)Banks10.56%1281104-4.85%
Tata Power Company LimitedTATAPOWER (INE245A01021)Power9.51%2671624-
ITC LimitedITC (INE154A01025)Diversified FMCG7.92%2142857-
HDFC Life Insurance Co LtdHDFCLIFE (INE795G01014)Insurance6.13%952820-32.03%
Samvardhana Motherson International LtdMOTHERSON (INE775A01035)Auto Components6.05%6525000-
Ventive Hospitality LimitedVENTIVE (INE781S01027)Leisure Services5.15%793155-
Aurobindo Pharma LimitedAUROPHARMA (INE406A01037)Pharmaceuticals & Biotechnology5.02%501033-
Adani Green Energy LimitedADANIGREEN (INE364U01010)Power4.65%463733-
Bajaj Auto LimitedBAJAJ-AUTO (INE917I01010)Automobiles3.83%49016-
Bajaj Finance LimitedBAJFINANCE (INE296A01032)Finance3.22%351081-
DLF LimitedDLF (INE271C01023)Realty3.01%452830-
OSWAL PUMPS LIMITEDOSWALPUMPS (INE0BYP01024)Industrial Products2.86%447864-
Godrej Properties LimitedGODREJPROP (INE484J01027)Realty2.75%136457-
Sun Pharmaceutical Industries LimitedSUNPHARMA (INE044A01036)Pharmaceuticals & Biotechnology2.64%177841-

Debt

NameRatingWeight %
91 Days Treasury Bill 18-Dec-2025N.A.2.53%
91 Days Treasury Bill 20-Nov-2025N.A.0.79%
91 Days Treasury Bill 28-Nov-2025N.A.0.79%
91 Days Treasury Bill 04-Dec-2025N.A.0.79%
91 Days Treasury Bill 02-Jan-2026N.A.0.78%
91 Days Treasury Bill 08-Jan-2026N.A.0.78%
91 Days Treasury Bill 15-Jan-2026N.A.0.43%
91 Days Treasury Bill 29-Jan-2026N.A.0.43%
Quant Arbitrage Fund -Direct Plan GrowthN.A.2.40%
Portfolio data is as on date 31 October, 2025

NAV (Net asset value) history

quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan - 30 days NAV history

DateNAV
5 December, 202516.6735
4 December, 202516.6041
3 December, 202516.5403
2 December, 202516.6564
1 December, 202516.6838
28 November, 202516.732
27 November, 202516.7656
26 November, 202516.7407
25 November, 202516.5376
24 November, 202516.4811
21 November, 202516.5928
20 November, 202516.7087
19 November, 202516.7202
18 November, 202516.7097
17 November, 202516.8375
14 November, 202516.7593
13 November, 202516.7275
12 November, 202516.6519
11 November, 202516.6181
10 November, 202516.592
7 November, 202516.5795
6 November, 202516.5649
4 November, 202516.7275
3 November, 202516.8364
31 October, 202516.8056
30 October, 202516.8422
29 October, 202516.9273
28 October, 202516.7689
27 October, 202516.7643
24 October, 202516.6851

FAQ (Frequently asked questions)

  • What is latest/current NAV/price of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan?
    The latest NAV of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan is 16.6735 as on 5 December, 2025.
  • What are YTD (year to date) returns of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan?
    The YTD (year to date) returns of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan are 3.61% as on 5 December, 2025.
  • What are 1 year returns of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan?
    The 1 year returns of quant Dynamic Asset Allocation Fund - Growth Option - Regular Plan are 0.95% as on 5 December, 2025.