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MF Analyser

Quant Large & Mid Cap Fund

Regular Plan · Growth Option · Large & Mid Cap · Scheme code 104513

Fund housequant Mutual Fund
CategoryLarge & Mid Cap
Plan & optionRegular · Growth Option
History19.7 years

Returns (%)

 1M3M6M1Y3Y5Y7Y10YLaunch
This scheme -4.35-0.3215.67 6.2112.1113.52 19.4014.5913.34
Nifty LargeMidcap 250
benchmark
-4.60-7.94-2.03 -7.048.54— ——10.32
Large & Mid Cap
category median
——— 2.3611.9010.58 —13.36—

Over a year annualised (CAGR), under a year absolute. Computed from AMFI's published NAV history for this scheme.

Risk

 VolatilitySharpeSortinoBetaAlphaMax fallR²
This scheme 26.5% 0.21 0.34 1.08 3.02% -53.5% 82.10
Nifty LargeMidcap 250
benchmark
14.9%0.14 0.19—— -18.9%—

Risk-free rate 6.5%. Beta, alpha and R² are regressed on the 57 months this scheme and its benchmark share.

Growth of ₹100 since launch

-274368991,3622008201020122014201620182020202220242026MF Analyser

Drawdown from peak (%)

0%-20%-40%-60%2008201020122014201620182020202220242026

Every one-year period it has lived through

WindowsWorstMedianBestPeriods that lost money
921 -46.9% 12.6% 92.2% 29%

Every one-year holding period in this scheme's history, not just the last one — the spread a real investor would have met depending only on when they started.

How it behaves against its benchmark

Up captureDown captureCorrelation Tracking errorInformation ratioTreynor
115% 104% 0.91 7.9% 0.42 6.51

Up capture is how much of the benchmark's gain this scheme kept in the months the benchmark rose; down capture, how much of its fall it took. Below 100 on the down side and above it on the up side is the combination every fund is trying for and few reach. Measured over the 57 months this scheme and Nifty LargeMidcap 250 share.

MF Analyser

Quant Large & Mid Cap Fund

Regular Plan · Growth Option

Allocation

By asset

Equity72.36%
Cash & Equivalents20.14%
Debt4.85%
Foreign Securities2.64%

By market cap

Large Cap113.69%
Mid Cap97.20%
Small Cap15.45%
Unclassified73.03%

Concentration

Number of stocks30
Top 5 stocks54.58%
Top 10 stocks76.74%
Top 20 stocks95.96%
Lines in the filing39
Largest holding21.27%
Largest sectorN.A. 96.28%
Effective stocks11.3
Sectors held2
Cash-1.13%

Effective stocks is what the concentration works out to: a fund holding 30 names but most of its money in a few behaves like a fund of 11. Cash includes repo and TREPS, which every fund parks money in overnight.

Sector split

N.A. — 95.2%SOV — 4.9%N.A.95.2%SOV4.9%
N.A.95.15%
SOV4.85%
MF Analyser

Quant Large & Mid Cap Fund

Regular Plan · Growth Option · holdings

Top 30 holdings

#CompanySectorShares held Value
₹ cr
% of fund
1 TREPS 01-Sep-2026 DEPO 10 N.A. 741,701 742 21.27%
2 Aurobindo Pharma Limited N.A. 1,976,168 339 9.73%
3 Lloyds Metals And Energy Limited N.A. 1,749,659 314 9.00%
4 Samvardhana Motherson International Ltd N.A. 16,633,720 284 8.14%
5 Adani Enterprises Limited N.A. 785,708 225 6.44%
6 Adani Green Energy Limited N.A. 1,633,862 199 5.69%
7 Bharti Airtel Limited 29/09/2026 N.A. 1,023,625 192 5.50%
8 Adani Power Limited N.A. 9,082,938 180 5.16%
9 Bharat Heavy Electricals Ltd N.A. 3,617,363 160 4.59%
10 Glenmark Pharmaceuticals Ltd 29/09/2026 N.A. 571,500 143 4.11%
11 DLF Limited 29/09/2026 N.A. 2,026,350 137 3.92%
12 Premier Energies Limited N.A. 1,206,835 125 3.59%
13 Nippon Life India Asset Management Ltd 29/09/2026 N.A. 973,750 118 3.40%
14 Sona BLW Precision Forgings Limited N.A. 1,342,600 109 3.13%
15 K.P.R. Mill Limited N.A. 914,615 108 3.09%
16 LTIMindtree Limited 29/09/2026 N.A. 228,300 103 2.96%
17 Tata Communications Limited N.A. 592,548 102 2.93%
18 Tata Consultancy Services Limited 29/09/2026 N.A. 433,575 101 2.91%
19 Info Edge (India) Ltd 29/09/2026 N.A. 677,050 92 2.64%
20 Zydus Lifesciences Limited N.A. 689,400 80 2.30%
21 JSW Infrastructure Limited N.A. 1,761,099 60 1.72%
22 Adani Energy Solutions Limited N.A. 422,350 60 1.72%
23 AWL Agri Business Limited N.A. 2,863,745 55 1.58%
24 Life Insurance Corporation Of India N.A. 988,928 41 1.19%
25 3M India Limited N.A. 12,200 41 1.17%
26 Hexaware Technologies Limited N.A. 565,559 31 0.90%
27 91 Days Treasury Bill 03-Sep-2026 SOV 2,500,000 25 0.72%
28 91 Days Treasury Bill 17-Sep-2026 SOV 2,500,000 25 0.72%
29 91 Days Treasury Bill 24-Sep-2026 SOV 2,500,000 25 0.71%
30 91 Days Treasury Bill 19-Nov-2026 SOV 2,500,000 25 0.71%
MF Analyser

Quant Large & Mid Cap Fund

Regular Plan · Growth Option · where the money sits

A ₹10,000 monthly SIP over five years

InvestedValueGainXIRR
₹600,000 ₹807,400 ₹207,400 11.83%

XIRR, not CAGR — a SIP's money arrives over sixty months, so each instalment has been invested for a different length of time.

Not investment advice. InvestVerdict is not a SEBI-registered Investment Adviser or Research Analyst. Every figure is computed from AMFI's published NAV history and the portfolio the AMC filed with AMFI; none of it is a recommendation to buy, hold or sell. Past returns do not predict future ones. Generated 25 Sep 2026.