quantum fund returns:Quantum Equity Fund of Funds
Quantum Equity Fund of Funds
Returns(NAVason01stOctober,2024)·1Year,29-Sep-23,14033.50,40.34%,39.95%,28.42%,13/103·2Year,30-Sep-22,16419.90,64.20%,28.05%,23.14%,26/ ...。其他文章還包含有:「QuantumMutualFund」、「QuantumMutualFund」、「QuantumMutualFund」、「QuantumMutualFunds」、「InvestinQuantumEquityFundofFundsOnline」、「QuantumMutualFund-Rating」、「QuantumEquityFundofFundsDirect」、「QuantumMutualFund-Schemes」
查看更多 離開網站Quantum Mutual Fund
https://groww.in
Fund Performance: The fund's annualized returns for the past 3 years & 5 years has been around 19.49% & 21.26%. The Quantum Long Term Equity Value Fund comes ...
Quantum Mutual Fund
https://www.moneycontrol.com
Schemes Managed ; Quantum Long Term Equity Value Fund - Growth, 4, Value Fund, Very High, 19.35 ; Quantum Liquid Fund - Growth, 1, Liquid Fund, Low, 5.82 ...
Quantum Mutual Fund
https://www.etmoney.com
Top Quantum Mutual Funds ; Quantum Long Term Equity Value Fund. #14 of 14 in Value Oriented · Fund Size. ₹1,220 Crs. 5 Yrs Return. 25.23% p.a..
Quantum Mutual Funds
https://www.bajajfinserv.in
Quantum Multi Asset Fund: Diversifies across multiple asset classes with a 1-year return of 18.5%. Quantum Tax Saving Fund: Offers tax benefits and has a 1- ...
Invest in Quantum Equity Fund of Funds Online
https://www.quantumamc.com
Quantum Equity Fund of Funds simplify & optimize your equity investing journey by investing in good quality, diversified equity schemes on your behalf.
Quantum Mutual Fund - Rating
https://www.valueresearchonlin
Go to the 'Returns' tab and click SIP to view the SIP returns of their schemes across different time periods.
Quantum Equity Fund of Funds Direct
https://m.economictimes.com
2. Returns: Its trailing returns over different time periods are: 41.41% (1yr), 16.99% (3yr), 19.96% (5yr) and 15.38% (since launch).
Quantum Mutual Fund - Schemes
https://www.angelone.in
This fund primarily invests in equities, aiming to provide tax benefits to investors. With an AUM of ₹136.87 crore, it holds a favourable expense ratio of 0.9%.