Quant Value Fund Returns 1-Year3-YearSince Inception 25.04% 27.11% 26.75% What is the current NAV of Quant Value Fund? The current Net Asset Value (NAV) of the Quant Value Fund - Direct Growth plan is approximately ₹20.87 as of Dec 30, 2024. How do I invest in Quant Value Fund...
What is the current NAV of Quant PSU Fund? The current Net Asset Value (NAV) of the Quant PSU Fund - Direct Growth plan is approximately₹11.15as of Dec 09, 2024. How do I invest in Quant PSU Fund? Investing in this mutual fund scheme on ET Money is fast, easy, and completely ...
Change FundQuant Solutions Mid-Cap Value NAV as of 12/16/2024 $ 26.00($ -0.07)1-Day Change (Z class) NAV Total Return as of 12/16/2024 YTD: 15.66% (Z class) Overview Performance Portfolio Management Literature Objective Seeks long-term growth by investing in stocks of mid-cap companies...
Mutual Fund | $USD | NAV Summary Holdings Ratings Momentum Dividends Peers Charting Holdings Breakdown Sorry, this data cannot be displayed at the moment. Top 10 Holdings Apple Inc 7.63% NVIDIA Corp 7.22% Microsoft Corp 5.90% Amazon.com Inc 4.25% Meta Platforms Inc Class A 2.51% Alphabet ...
QuantHedgeFund 22-10-4 01:47 发布于 广东 来自 华为手机 畅享玩不停 #量化对冲基金#埃及财长:埃及天然气出口额达到6亿美元/月。据国际文传电讯社:俄罗斯央行仍计划提高对2022年GDP的预期。香港金管局买入23.55亿港元以捍卫联系汇率制度。克里姆林宫:将与赫尔松和扎波罗热地区的居民就如何界定边界问题进行磋商...