Quant Flexi Cap Mutual Fund has released its October portfolio, revealing some notable changes in holdings and performance metrics. Here are the key highlights and takeaways:
The fund has reported an impressive NAV growth of 46.29% year-on-year, showcasing robust performance.
The fund’s cash holdings saw an increase, climbing from 7.64% in September to 10.09% in October. This shift could indicate a cautious approach or preparation for future investment opportunities.
Month-on-month, the fund experienced a decline in assets under management (AUM), with a loss of over Rs 398 crore.
Several holdings saw changes in their allocations:
In summary, Quant Flexi Cap Fund’s October portfolio showcases active adjustments with fresh entries, strategic exits, and an increased cash reserve, all aligning with the fund’s tactical approach in a volatile market.
Disclaimer: This blog has been written exclusively for educational purposes. The securities mentioned are only examples and not recommendations. It is based on several secondary sources on the internet and is subject to changes. Please consult an expert before making related decisions.
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