Quant Focused Fund - Growth Option - Regular Plan

(Erstwhile Escorts Leading Sectors Fund - Growth Option)

Category: Equity: Focused
Launch Date: 01-08-2008
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 2.18% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 1,077.41 Cr As on (31-12-2024)
Turn over: -
NAV as on 14-01-2025

81.5631

0.88 (1.0817%)

CAGR Since Inception

13.59%

NIFTY 500 TRI 12.44%

PERFORMANCE of Quant Focused Fund - Growth Option - Regular Plan

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Sanjeev Sharma, Vasav Sahgal, Ankit A Pande

Investment Objective

The scheme seeks to provide capital appreciation by investing in companies from Leading Sectors, depending upon their growth prospects and sustainability of future earnings growth. A Leading sector shall be the one that is growing at a rate higher than the nominal GDP of the economy.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
01-08-2008 10.0 10000.0 100000 0.0 %
01-09-2008 9.7304 - 97304 -2.7 %
01-10-2008 8.4752 - 84752 -15.25 %
03-11-2008 6.6834 - 66834 -33.17 %
01-12-2008 6.3136 - 63136 -36.86 %
01-01-2009 6.5415 - 65415 -34.59 %
02-02-2009 5.8821 - 58821 -41.18 %
02-03-2009 5.6247 - 56247 -43.75 %
01-04-2009 5.5757 - 55757 -44.24 %
04-05-2009 6.262 - 62620 -37.38 %
01-06-2009 8.8552 - 88552 -11.45 %
01-07-2009 8.7225 - 87225 -12.78 %
03-08-2009 9.2341 - 92341 -7.66 %
01-09-2009 9.2978 - 92978 -7.02 %
01-10-2009 9.7967 - 97967 -2.03 %
03-11-2009 9.03 - 90300 -9.7 %
01-12-2009 10.0876 - 100876 0.88 %
04-01-2010 10.5868 - 105868 5.87 %
01-02-2010 10.0802 - 100802 0.8 %
02-03-2010 9.8096 - 98096 -1.9 %
01-04-2010 10.2597 - 102597 2.6 %
03-05-2010 10.9686 - 109686 9.69 %
01-06-2010 10.3347 - 103347 3.35 %
01-07-2010 10.9218 - 109218 9.22 %
02-08-2010 11.3727 - 113727 13.73 %
01-09-2010 11.7967 - 117967 17.97 %
01-10-2010 12.7086 - 127086 27.09 %
01-11-2010 12.9035 - 129035 29.04 %
01-12-2010 12.372 - 123720 23.72 %
03-01-2011 11.9299 - 119299 19.3 %
01-02-2011 10.3105 - 103105 3.1 %
01-03-2011 10.023 - 100230 0.23 %
01-04-2011 10.4762 - 104762 4.76 %
02-05-2011 10.8035 - 108035 8.04 %
01-06-2011 10.8727 - 108727 8.73 %
01-07-2011 10.759 - 107590 7.59 %
01-08-2011 10.7911 - 107911 7.91 %
02-09-2011 9.7357 - 97357 -2.64 %
03-10-2011 9.0858 - 90858 -9.14 %
01-11-2011 9.6723 - 96723 -3.28 %
01-12-2011 8.4931 - 84931 -15.07 %
02-01-2012 8.0948 - 80948 -19.05 %
01-02-2012 9.853 - 98530 -1.47 %
01-03-2012 10.092 - 100920 0.92 %
02-04-2012 10.0088 - 100088 0.09 %
02-05-2012 9.692 - 96920 -3.08 %
01-06-2012 8.7736 - 87736 -12.26 %
02-07-2012 9.773 - 97730 -2.27 %
01-08-2012 10.0295 - 100295 0.29 %
03-09-2012 9.8329 - 98329 -1.67 %
01-10-2012 11.1628 - 111628 11.63 %
01-11-2012 11.1923 - 111923 11.92 %
03-12-2012 12.4399 - 124399 24.4 %
01-01-2013 12.2005 - 122005 22.0 %
01-02-2013 12.1895 - 121895 21.89 %
01-03-2013 11.454 - 114540 14.54 %
01-04-2013 11.0502 - 110502 10.5 %
02-05-2013 11.5287 - 115287 15.29 %
03-06-2013 11.5332 - 115332 15.33 %
01-07-2013 11.4257 - 114257 14.26 %
01-08-2013 10.8676 - 108676 8.68 %
02-09-2013 10.7848 - 107848 7.85 %
01-10-2013 11.1702 - 111702 11.7 %
01-11-2013 11.6577 - 116577 16.58 %
02-12-2013 11.7721 - 117721 17.72 %
01-01-2014 12.2158 - 122158 22.16 %
03-02-2014 11.9042 - 119042 19.04 %
03-03-2014 12.1563 - 121563 21.56 %
01-04-2014 13.1114 - 131114 31.11 %
02-05-2014 13.6206 - 136206 36.21 %
02-06-2014 14.8905 - 148905 48.91 %
01-07-2014 15.9822 - 159822 59.82 %
01-08-2014 16.5536 - 165536 65.54 %
01-09-2014 17.9778 - 179778 79.78 %
01-10-2014 18.0695 - 180695 80.69 %
03-11-2014 18.7215 - 187215 87.22 %
01-12-2014 19.8704 - 198704 98.7 %
01-01-2015 20.0419 - 200419 100.42 %
02-02-2015 21.3724 - 213724 113.72 %
02-03-2015 21.2527 - 212527 112.53 %
06-04-2015 22.3231 - 223231 123.23 %
04-05-2015 22.0922 - 220922 120.92 %
01-06-2015 21.9345 - 219345 119.34 %
01-07-2015 22.3883 - 223883 123.88 %
03-08-2015 23.101 - 231010 131.01 %
01-09-2015 21.7279 - 217279 117.28 %
01-10-2015 22.3135 - 223135 123.13 %
02-11-2015 22.9201 - 229201 129.2 %
01-12-2015 23.2977 - 232977 132.98 %
01-01-2016 23.6807 - 236807 136.81 %
01-02-2016 22.7212 - 227212 127.21 %
01-03-2016 20.9766 - 209766 109.77 %
01-04-2016 22.3196 - 223196 123.2 %
02-05-2016 23.7487 - 237487 137.49 %
01-06-2016 23.694 - 236940 136.94 %
01-07-2016 24.5105 - 245105 145.1 %
01-08-2016 24.7392 - 247392 147.39 %
01-09-2016 25.7651 - 257651 157.65 %
03-10-2016 26.0135 - 260135 160.13 %
01-11-2016 26.5167 - 265167 165.17 %
01-12-2016 25.2459 - 252459 152.46 %
02-01-2017 25.0261 - 250261 150.26 %
01-02-2017 25.835 - 258350 158.35 %
01-03-2017 26.9408 - 269408 169.41 %
03-04-2017 28.1417 - 281417 181.42 %
02-05-2017 28.3438 - 283438 183.44 %
01-06-2017 28.4706 - 284706 184.71 %
03-07-2017 28.5215 - 285215 185.22 %
01-08-2017 29.156 - 291560 191.56 %
01-09-2017 29.6577 - 296577 196.58 %
03-10-2017 30.3174 - 303174 203.17 %
01-11-2017 31.7093 - 317093 217.09 %
01-12-2017 31.7535 - 317535 217.53 %
01-01-2018 33.7271 - 337271 237.27 %
01-02-2018 32.9267 - 329267 229.27 %
01-03-2018 32.1863 - 321863 221.86 %
02-04-2018 32.07 - 320700 220.7 %
02-05-2018 33.0988 - 330988 230.99 %
01-06-2018 31.7544 - 317544 217.54 %
02-07-2018 31.16 - 311600 211.6 %
01-08-2018 32.6595 - 326595 226.6 %
03-09-2018 33.1312 - 331312 231.31 %
01-10-2018 31.5558 - 315558 215.56 %
01-11-2018 30.356 - 303560 203.56 %
03-12-2018 31.2164 - 312164 212.16 %
01-01-2019 31.2825 - 312825 212.82 %
01-02-2019 30.2515 - 302515 202.51 %
01-03-2019 29.5195 - 295195 195.19 %
01-04-2019 31.7023 - 317023 217.02 %
02-05-2019 31.4623 - 314623 214.62 %
03-06-2019 32.7939 - 327939 227.94 %
01-07-2019 32.2183 - 322183 222.18 %
01-08-2019 29.8918 - 298918 198.92 %
03-09-2019 29.2914 - 292914 192.91 %
01-10-2019 31.2436 - 312436 212.44 %
01-11-2019 33.0872 - 330872 230.87 %
02-12-2019 32.8373 - 328373 228.37 %
01-01-2020 31.9708 - 319708 219.71 %
03-02-2020 30.9915 - 309915 209.91 %
02-03-2020 29.3652 - 293652 193.65 %
01-04-2020 23.2073 - 232073 132.07 %
04-05-2020 27.0004 - 270004 170.0 %
01-06-2020 28.8183 - 288183 188.18 %
01-07-2020 29.6203 - 296203 196.2 %
03-08-2020 31.7037 - 317037 217.04 %
01-09-2020 32.3109 - 323109 223.11 %
01-10-2020 32.5758 - 325758 225.76 %
02-11-2020 33.0959 - 330959 230.96 %
01-12-2020 36.6744 - 366744 266.74 %
01-01-2021 39.8337 - 398337 298.34 %
01-02-2021 40.1949 - 401949 301.95 %
01-03-2021 42.7392 - 427392 327.39 %
01-04-2021 45.3917 - 453917 353.92 %
03-05-2021 47.2209 - 472209 372.21 %
01-06-2021 50.3586 - 503586 403.59 %
01-07-2021 49.4987 - 494987 394.99 %
02-08-2021 52.7921 - 527921 427.92 %
01-09-2021 52.06 - 520600 420.6 %
01-10-2021 52.9202 - 529202 429.2 %
01-11-2021 53.4686 - 534686 434.69 %
01-12-2021 54.3455 - 543455 443.45 %
03-01-2022 54.4252 - 544252 444.25 %
01-02-2022 54.1171 - 541171 441.17 %
02-03-2022 50.2683 - 502683 402.68 %
01-04-2022 55.4313 - 554313 454.31 %
02-05-2022 55.5888 - 555888 455.89 %
01-06-2022 52.2207 - 522207 422.21 %
01-07-2022 49.2173 - 492173 392.17 %
01-08-2022 54.2689 - 542689 442.69 %
01-09-2022 56.9926 - 569926 469.93 %
03-10-2022 55.0637 - 550637 450.64 %
01-11-2022 58.5761 - 585761 485.76 %
01-12-2022 59.9994 - 599994 499.99 %
02-01-2023 59.0632 - 590632 490.63 %
01-02-2023 55.2571 - 552571 452.57 %
01-03-2023 54.5031 - 545031 445.03 %
03-04-2023 54.7873 - 547873 447.87 %
02-05-2023 57.0927 - 570927 470.93 %
01-06-2023 57.0514 - 570514 470.51 %
03-07-2023 61.6482 - 616482 516.48 %
01-08-2023 65.1072 - 651072 551.07 %
01-09-2023 64.6353 - 646353 546.35 %
03-10-2023 65.0906 - 650906 550.91 %
01-11-2023 63.2554 - 632554 532.55 %
01-12-2023 69.528 - 695280 595.28 %
01-01-2024 75.8429 - 758429 658.43 %
01-02-2024 79.2764 - 792764 692.76 %
01-03-2024 83.9648 - 839648 739.65 %
01-04-2024 84.607 - 846070 746.07 %
02-05-2024 86.1781 - 861781 761.78 %
03-06-2024 89.7285 - 897285 797.28 %
01-07-2024 90.8759 - 908759 808.76 %
01-08-2024 94.5492 - 945492 845.49 %
02-09-2024 94.8671 - 948671 848.67 %
01-10-2024 95.9296 - 959296 859.3 %
04-11-2024 88.0708 - 880708 780.71 %
02-12-2024 87.3311 - 873311 773.31 %
01-01-2025 85.0287 - 850287 750.29 %
14-01-2025 81.5631 - 815631 715.63 %

RETURNS CALCULATOR for Quant Focused Fund - Growth Option - Regular Plan

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of Quant Focused Fund - Growth Option - Regular Plan

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Quant Focused Fund - Growth Option - Regular Plan 14.85 0.6 0.69 1.07 - -
Equity: Focused - - - - - -

PEER COMPARISION of Quant Focused Fund - Growth Option - Regular Plan

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Quant Focused Fund - Growth Option - Regular Plan 01-08-2008 5.13 18.23 13.28 20.04 14.88
Invesco India Focused Fund - Growth 08-09-2020 26.64 34.24 16.21 0.0 0.0
BANDHAN Focused Equity Fund - Regular Plan - Growth 16-03-2006 21.63 28.06 13.69 16.63 12.04
HDFC Focused 30 Fund - GROWTH PLAN 05-09-2004 18.6 25.08 20.79 21.44 13.6
ICICI Prudential Focused Equity Fund - Growth 05-05-2009 18.07 24.5 16.35 22.1 13.42
Canara Robeco Focused Equity Fund - Regular Plan - Growth Option 05-05-2021 16.7 21.43 12.81 0.0 0.0
Edelweiss Focused Fund - Regular Plan - Growth 26-07-2022 14.88 23.04 0.0 0.0 0.0
ITI Focused Equity Fund - Regular Plan - Growth 19-06-2023 14.79 0.0 0.0 0.0 0.0
Mahindra Manulife Focused Fund - Regular Plan - Growth 01-11-2020 13.84 23.31 15.56 0.0 0.0
DSP Focus Fund - Regular Plan - Growth 10-06-2010 13.7 24.56 12.26 14.05 11.69

PORTFOLIO ANALYSIS of Quant Focused Fund - Growth Option - Regular Plan

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

7.01%

Others

5.99%

Large Cap

87.01%

Total

100%