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Historical NAV

NAV Date Scheme Name NAV(₹)
01-Jun-2025 quant Liquid Fund-UD Investor Education Plan (G) 13.1109
01-Jun-2025 quant Liquid Fund-Unclaimed Dividend Plan (G) 13.1104
01-Jun-2025 quant Liquid Fund-Unclaimed Redemption Plan (G) 12.9686
01-Jun-2025 quant Liquid Fund-UR Investor Education Plan (G) 13.1109
01-Jun-2025 quant Liquid Fund - Direct (G) 42.1645
01-Jun-2025 quant Liquid Fund - Direct (IDCW-D) 13.3025
01-Jun-2025 quant Liquid Fund - Direct (IDCW-M) 15.6868
01-Jun-2025 quant Liquid Fund - Direct (IDCW-W) 14.6137
01-Jun-2025 quant Liquid Fund (G) 41.0955
01-Jun-2025 quant Liquid Fund (IDCW-D) 12.8371
01-Jun-2025 quant Liquid Fund (IDCW-M) 15.1655
01-Jun-2025 quant Liquid Fund (IDCW-W) 14.4808
01-Jun-2025 quant Overnight Fund - Direct (G) 11.8027
01-Jun-2025 quant Overnight Fund - Direct (IDCW) 11.8068
01-Jun-2025 quant Overnight Fund - Regular (G) 11.7708
01-Jun-2025 quant Overnight Fund - Regular (IDCW) 11.7590
30-May-2025 quant Absolute Fund - Direct (G) 451.8611
30-May-2025 quant Absolute Fund - Direct (IDCW) 62.5863
30-May-2025 quant Absolute Fund (G) 415.5638
30-May-2025 quant Absolute Fund (IDCW) 57.3178
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