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Quant Focused Fund - Direct Plan
Fund : Quant Mutual Fund
Category : Equity - Focused
Type : Open Ended
NAV(17/07/2025) 96.0585
Percentage Returns :
1 Month Ago : 1.77%
3 Months Ago : 7.32%
1 Year Ago : -4.56%

NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
17/07/202596.0696.0696.06
16/07/202596.1796.1796.17
15/07/202595.7595.7595.75
14/07/202595.2495.2495.24
11/07/202595.4395.4395.43
10/07/202596.3996.3996.39
09/07/202596.4696.4696.46
08/07/202596.9296.9296.92
07/07/202596.6896.6896.68
04/07/202596.6296.6296.62
03/07/202596.5396.5396.53
02/07/202596.9196.9196.91
01/07/202597.5297.5297.52
30/06/202597.4897.4897.48
27/06/202597.6097.6097.60
26/06/202597.0997.0997.09
25/06/202596.2296.2296.22
24/06/202595.5495.5495.54

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