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Quant Focused Fund
Fund : Quant Mutual Fund
Category : Equity - Focused
Type : Open Ended
NAV(06/06/2025) 85.6143
Percentage Returns :
1 Month Ago : 5.79%
3 Months Ago : 10.81%
1 Year Ago : -3.38%

NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
06/06/202585.6185.6185.61
05/06/202584.6784.6784.67
04/06/202584.3984.3984.39
03/06/202583.8683.8683.86
02/06/202584.3584.3584.35
30/05/202584.2884.2884.28
29/05/202584.5384.5384.53
28/05/202584.3484.3484.34
27/05/202584.2184.2184.21
26/05/202584.3184.3184.31
23/05/202583.8883.8883.88
22/05/202583.0283.0283.02
21/05/202583.8183.8183.81
20/05/202583.5083.5083.50
19/05/202584.5184.5184.51
16/05/202584.7884.7884.78
15/05/202584.4984.4984.49
14/05/202583.1283.1283.12

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