per unit as on 25/03/2022

About The Fund

The Quantum India ESG Equity Fund invests in companies that are focused on conserving the environment, on positively impacting communities that they operate in, and conducting business ethically. These sustainable businesses are not only environmentally and socially responsible but also make great sense as investments as you look to build wealth over the long term.

5 Reasons to invest in the Quantum India ESG Equity Fund
  • 1. Offers a solution for investing in businesses where sustainable practices drive long term performance.

  • 2. Invests after comprehensive research on Environmental, Social and Governance or ESG factors.

  • 3. Provides exposure to good quality sustainable companies with low volatility and downside risk.

  • 4. Well diversified portfolio that follows a disciplined investment process.

  • 5. Follows risk and liquidity controls on investing.

Fund Managed By
Chirag Mehta

Chirag Mehta

Managing this fund since July 2019
Performance details of other funds managed by him
Sneha Joshi

Sneha Joshi

Managing this fund since July 2019
  • No. Of Folios
    6,906
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  • Cut-Off Time
    03:00 PM
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  • Benchmark Index
    NIFTY100 ESG TRI
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  • Additional Benchmark Index
    S&P BSE Sensex TRI
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Fund Dashboard (.xls)
Exit Load

Click here to Benchmark Index Methodology

Portfolio

How To Invest

Invest Online in 3 simple steps. Click here to Get Started and plan your Asset Allocation!

Product Label

  • Name of the Scheme

    Quantum India ESG Equity Fund

    An Open ended equity scheme investing in companies following Environment, Social and Governance (ESG) theme

  • This product is suitable for investors who are seeking*

    • Long term capital appreciation

    • Invests in shares of companies that meet Quantum's Environment, Social, Governance (ESG) criteria.
    • Riskometer of scheme

      Investors understand that their principal will be at Very High Risk

    • Riskometer of Benchmark as of May 31, 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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