NI
Nippon India Quant Fund Direct Growth
Latest NAV
-3.54% 1Y
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Benchmark: BSE 200 TRI
Expense ratio
0.86%
AUM
₹116 Cr
Min SIP
₹100
Min lump sum
₹5,000
1Y
-3.54%
3Y (ann.)
+11.77%
5Y (ann.)
+12.19%
Launched
Jan 2013
Where the NAV sits & how risky it is
₹74.83
52-week range
at 27%
₹74.83
Low 31 Mar 2026₹71.96
High 03 Aug 2026₹82.41
Risk level
Very High
Low
Very high
NAV history
03 Jan 2013
Since inception
05 Oct 2026
Returns by period
1W
-3.30%
1M
-7.27%
3M
-5.88%
6M
+1.32%
1Y
-3.54%
3Y
+11.77%
5Y
+12.19%
3Y and 5Y returns are annualised.
Return calculator
You invest
—
Est. gain
—
Est. value
—
Invested Gain
Invested
Projected value
min SIP ₹100
Estimate only. It assumes the selected past return repeats every year; 3Y and 5Y figures are taken as annualised. Actual returns vary and are not guaranteed.
Where your money goes
AS OF 31 MAY 2026
Equity 98.92%
Cash & other 3.32%
Sector split
Country split
Top 5 hold 27.8%
Top 10 hold 44.5%
43 equity holdings
Equity holdings
(top 30)
| # | Holding | Sector | Country | Weight | YTD |
|---|---|---|---|---|---|
| 1 | ICICI Bank
INE090A01021 |
Financial Services Banks - Regional |
India |
6.79%
|
-3.69% |
| 2 | Reliance Industries
INE002A01018 |
Energy Oil & Gas Refining & Marketing |
India |
5.71%
|
-19.46% |
| 3 | Larsen & Toubro
INE018A01030 |
Industrials Engineering & Construction |
India |
5.32%
|
-3.13% |
| 4 | HDFC Bank
INE040A01034 |
Financial Services Banks - Regional |
India |
5.03%
|
-24.65% |
| 5 | State Bank of India
INE062A01020 |
Financial Services Banks - Regional |
India |
4.95%
|
+3.91% |
| 6 | Bharti Airtel
INE397D01024 |
Communication Services Telecom Services |
India |
3.62%
|
-15.69% |
| 7 | Bharat Electronics
INE263A01024 |
Industrials Aerospace & Defense |
India |
3.51%
|
+2.68% |
| 8 | Infosys
INE009A01021 |
Technology Information Technology Services |
India |
3.35%
|
-27.55% |
| 9 | GE Vernova T&D
INE200A01026 |
Industrials Specialty Industrial Machinery |
India |
3.20%
|
+55.34% |
| 10 | Mahindra & Mahindra
INE101A01026 |
Consumer Cyclical Auto Manufacturers |
India |
3.02%
|
-20.40% |
About this scheme
The investment objective of the Scheme is to generate capital appreciation through investment in equity and equity related instruments. The Scheme will seek to generate capital appreciation by investing in an active portfolio of stocks selected on the basis of a Quant model.
Fund manager(s): Kinjal Desai, Divya Dutt Sharma, Lokesh Maru, Shirish Valmik Guthe, Amber Singhania
Exit load: Exit load of 0.25% if redeemed within 1 month
Scheme snapshot
VR Rating
MS Rating
Plan
Growth
Type
DIRECT
Inception
01 Jan 2013
Lump-sum min
₹5,000
SIP
Purchase
Switch
STP
SWP
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