The latest Net Asset Value (NAV) of Quant Active Fund Direct-Growth as of 30/01/2025 is ₹652.81. The fund has an expense ratio of 0.57%, which is close to what most other Multi Cap funds charge. Quant Active Fund Direct-Growth returns of last 1-year are 0.41%. Since launch, it...
Change FundQuant Solutions Mid-Cap Value NAV as of 1/27/2025 $ 25.79($ 0.02)1-Day Change (Z class) NAV Total Return as of 1/27/2025 YTD: 4.46% (Z class) Overview Performance Portfolio Management Literature Objective Seeks long-term growth by investing in stocks of mid-cap companies tha...
To monitor the strategy performance, I have used the Morningstar UK portfolio manager. Clearly it is over a month since the last rebalance. I will most probably rebalance it in the next few days. The benchmark Index assumes 40% BarCap Sterling Agg & 60% MSCI Wld Free. Disclosure:The vie...
Wherein the direct recording of trading deal data drags two problems – revealing all trading data including trading strategies along with the inefficiency of blockchain`s capacity to store and process millions of trading transactions daily. To solve this problems HyperQuant project utilizes the crypto...