per unit as on 01/07/2022

About The Fund

The Quantum Multi Asset Fund of Funds (QMAFOF) invests in the three asset classes of Equities, Debt and Gold, enabling investors to easily diversify risk by giving appropriate exposure to each asset class. It is a Fund of Funds scheme that invests in Quantum’s Mutual Fund Schemes. So, as an investor, you get a professional Fund Manager to take care of the diversification needs of your portfolio and have the ease of looking at the performance of one fund in one statement. Limit your downside risk by investing in this truly balanced Fund.

5 Reasons to invest in the Quantum Multi Asset Fund of Funds
  • 1. Diversifies across asset classes to reduce risk and optimize gains.

  • 2. Offers investors exposure to various assets in a single investment.

  • 3. Portfolio is rebalanced at regular intervals based on the performance.

  • 4. Follows a disciplined research and investment process.

  • 5. Has one of the lowest expense ratios in its category.

Fund Managed By
Chirag Mehta

Chirag Mehta

Managing this fund since July 2012
Performance details of other funds managed by him
  • No. Of Folios
    2,587
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  • Cut-Off Time
    03:00 PM
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  • Benchmark Index
    CRISIL Composite Bond Fund Index (20%) + S&P BSE Total Return Index (40%) + CRISIL Liquid Index(25%) + Domestic Price of Gold (15%)
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  • Additional Benchmark Index

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Portfolio

How To Invest

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Product Label

  • Name of the Scheme

    Quantum Multi Asset Fund of Funds

    An Open Ended Fund of Funds Scheme Investing in schemes of Quantum Mutual Fund

  • This product is suitable for investors who are seeking*

    • Long term capital appreciation and current income

    • Investments in portfolio of schemes of Quantum Mutual Fund whose underlying investments are in equity , debt / money market instruments and gold

    • Riskometer of scheme

      Investors understand that their principal will be at Moderately High Risk

    • Riskometer of Benchmark as of Jun 30, 2022

*Investors should consult their financial advisors if in doubt about whether the product is suitable for them.

The Risk Level of the Scheme in the Risk O Meter is based on the portfolio of the scheme as on March 31, 2021.
The Risk Level of the Benchmark Index in the Risk O Meter is basis it's constituents as on Mar 31, 2022.

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