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Quant ESG Integration Strategy Fund - Regular Plan

Sectoral/Thematic
Very High Risk
Rs 33.22  
-0.7
  |  
 NAV as on Oct 31, 2025
Benchmark
Nifty 100 ESG Total Return Index
Expense Ratio
2.42%
Fund Category
Equity - Sectoral/Thematic
Fund Size
Rs 277 Crores
Exit Load
1.00%
Min. Investment
Rs 5,000

Nav Chart

1W
1M
3M
6M
YTD
1Y
3Y
5Y
10Y

Asset Allocation

Sector Allocation

Quant ESG Integration Strategy Fund - Regular Plan Fund Details

Investment Objective - To generate long term capital appreciation by investing in a diversified portfolio of companies demonstrating sustainable practices across Environmental, Social and Governance (ESG) parameters. However, there can be no assurance that the investment objective of the Scheme will be achieved.

Return Since Launch
27.23%
Launch Date
Oct 15, 2020
Type
Open Ended
Riskometer
Very High

Ratio Analysis

Standard Deviation
17.83 vs 14.23
Fund Vs Category Avg
Beta
0.87 vs 0.89
Fund Vs Category Avg

Performance Analysis

1W
1M
3M
6M
1Y
3Y
5Y
10Y
SI
Fund Returns (%)-0.034.012.915.9917.0814.58NANA27.23
Category Average (%)0.193.543.379.483.7610.149.37NA13.78
Rank within Category358413661774852388NANA71

* Returns over 1 year are CAGR

Peer Comparision

Scheme Name(Growth Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
37.0130,8020.354.404.347.528.6022.6332.95NA21.241.58
201.0614,4140.185.972.837.23-0.9614.2019.4016.8612.401.75
25.4714,1480.203.544.8110.4010.9822.28NANA21.591.70
11.2311,5740.952.954.2514.006.10NANANA8.281.75
46.9711,2030.175.392.305.44-7.0013.7518.64NA17.011.69
10.6110,2342.714.435.4710.298.04NANANA4.761.73
136.8010,021-0.363.982.085.2611.0715.7521.5714.4316.431.81
10.889,5862.414.103.127.28-0.06NANANA5.191.78
44.298,693-0.144.375.089.7815.3719.0421.4416.8714.971.78
512.038,114-0.393.23-3.543.03-0.5320.8918.2112.5320.181.82
View All
Oct 31, 2025

Return Calculator

Over the past

Invested
5000
  • Invested Amount
  • Estimated Return

Total investment of ₹5000

Would have become ₹4,790 (-4.21%)

Fund Manager

Anikt Pande
Sanjeev Sharma
Sandeep Tandon

Mr. Ankit Pande holds CFA, MBA. He began his career in core banking software with Infosys Finacle. Began his career in equity research in 2011, picking up the (U.S. based) CFA charter in 2015 and MBA from The Chinese University of Hong Kong in 2017. He won the Thomson Reuters StarMine Award for best stock picker in the IT sector in 2014 and is a lifetime member of the Beta Gamma Sigma honour society.

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Here is the list of funds managed by Anikt Pande

Scheme Name(Growth Regular)
Category
NAV(Rs)
AUM(Rs Cr)
1Y(%)
5Y(%)
Equity - Large Cap15.412,7010.33NA
Equity - Value19.921,690-2.44NA
Equity - Sectoral/Thematic23.061,690-1.77NA
Equity - Sectoral/Thematic15.691,145-11.17NA
Hybrid - Dynamic Asset Allocation/Balanced Advantage16.811,1352.68NA
Equity - Sectoral/Thematic33.22277-4.21NA
View All
Oct 31, 2025

Top Performing Related Funds

Scheme Name(Growth Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
260.8629,2880.144.201.6710.29-3.4724.1033.7019.5411.891.59
380.2611,8540.404.655.2710.55-0.7115.2126.8720.9615.301.65
630.559,2400.593.542.105.90-5.0411.9822.9217.7218.391.74
214.398,2621.105.010.181.49-5.9016.9927.5417.0813.251.76
99.276,7770.283.712.975.23-2.4816.4426.6318.9814.421.79
151.273,8181.044.207.0312.9210.8020.6225.9617.5811.701.85
Oct 31, 2025
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