Investment Details
Investor Type
Mutual Fund
Asset Class Focus
Equity, Fixed Income, Multi-Asset, Debt, Commodities
Stage Focus
Growth, Late Stage, Pre-IPO
Geographical Focus
India
Industries Focus
- Financial Services
- Technology
- Healthcare
- Energy
- Consumer Goods
- Industrials
- Real Estate
- Infrastructure
- Materials
- Telecommunications
- Utilities
- Investment Management
- Consumer Services
- Basic Materials
- Consumer Non-Durables
- Commodities
Investment Size:
100,000 to 100,000,000 USD
Investor Details Founded: 1995
Quant Mutual Fund is a prominent Indian asset management company that provides a range of investment solutions across various asset classes, including equity, debt, commodities, and multi-asset portfolios. The firm is dedicated to delivering consistent returns by leveraging quantitative analysis and predictive analytics to inform investment decisions.
The company's investment approach is characterized by its multi-asset, multi-manager framework, aiming to produce absolute performance across different market and economic cycles. This strategy involves active management of small-cap and mid-cap stocks, sectors, and themes, with a focus on growth, late-stage, and pre-IPO investments. Quant Mutual Fund emphasizes the importance of staying relevant in a dynamic and volatile world by continuously updating knowledge and innovating systems and processes.
With assets under management (AUM) of approximately ₹930 billion, Quant Mutual Fund ranks among the top asset managers in India. The firm has experienced significant growth and has been recognized for its innovative approach to asset management. Despite facing regulatory scrutiny in the past, including an investigation by the Securities and Exchange Board of India (SEBI) in 2024, Quant Mutual Fund has maintained its commitment to providing value to its investors through diversified and actively managed investment strategies.
Requirements
- Investment options: SIP (Systematic Investment Plan), lump sum
- Investor eligibility: Open to Indian residents and NRIs
- Investment horizon: Medium to long-term
- Risk tolerance: Medium to high
Contact
[Official Website Hidden]
[LinkedIn Profile Hidden]
[HQ Location Hidden]
[Email Hidden]
[Contact Number Hidden]
Portfolio Companies
- TREPS 01-Oct-2025 DEPO 10
- Reliance Industries
- HDFC Bank
- Tata Consultancy Services
- Infosys
- ICICI Bank
- Larsen & Toubro
- Hindustan Unilever
- Bharti Airtel
- State Bank of India
- Maruti Suzuki
- Axis Bank
- ITC Limited
- Kotak Mahindra Bank
- Wipro
- HCL Technologies
- Bajaj Finance
- Asian Paints
- Nestlé India
- Sun Pharmaceutical Industries
- UltraTech Cement
Mentioned In
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$9.95
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