quant Multi Asset Allocation Fund

quant Mutual FundHybridPortfolio as of 31 July 2026

quant Multi Asset Allocation Fund holds 63 instruments (66.2% equity), led by ICICI Bank Limited (9.36%), Bharti Airtel Limited (8.36%) and Adani Enterprises Limited (7.42%), as of its 31 July 2026 SEBI-mandated monthly disclosure.

Holdings
63
Equity Allocation
66.2%
AMC
quant Mutual Fund
Category
Hybrid

This page shows the complete disclosed portfolio of quant Multi Asset Allocation Fund, managed by quant Mutual Fund, based on its monthly portfolio disclosure dated 31 July 2026. The fund holds 63 instruments with an equity allocation of 66.2%. Percentages are of net assets (% to NAV). Click any stock to see every other mutual fund that also holds it.

Portfolio Analysis

quant Multi Asset Allocation Fund's top 10 holdings account for 51.81% of its portfolio, more concentrated than the Hybrid category average of 28.9%. Financial Services is its largest sector exposure at 19.41% of net assets, spread across 11 sectors in total. Since its 30 June 2026 disclosure, the fund added 1 new position and exited 0 positions, with Adani Green Energy Limited seeing the largest move (-1.02pp to 6.92%).

Top 10 Equity Holdings

What Changed: June 2026 → July 2026

Equity holdings compared between the fund's two latest monthly disclosures. Weights are % to NAV; weight moves can also reflect price changes, not only buying or selling.

1 new entry3 increased10 reduced

Biggest Weight Increases

StockWeightChange
Indus Towers Limited2.46% → 3.46%▲ +1
Bharti Airtel Limited7.38% → 8.36%▲ +0.98
Tech Mahindra Limited1.38% → 1.53%▲ +0.15

Biggest Weight Reductions

StockWeightChange
Adani Green Energy Limited7.94% → 6.92%▼ -1.02
Black Box Limited2.24% → 1.68%▼ -0.56
Adani Enterprises Limited7.96% → 7.42%▼ -0.54
ICICI Prudential Asset Management Company Limited3.61% → 3.19%▼ -0.42
HDFC Life Insurance Company Limited4.04% → 3.62%▼ -0.42
HDFC Bank Limited2.56% → 2.26%▼ -0.3
Aurobindo Pharma Limited4.74% → 4.47%▼ -0.27
Larsen & Toubro Limited1.79% → 1.6%▼ -0.19
Premier Energies Limited2.06% → 1.88%▼ -0.18
ICICI Bank Limited9.53% → 9.36%▼ -0.17

Top Holdings — Weight Trend

% to NAV of the fund's current top holdings over its last 6 monthly disclosures (Feb – Jul 2026).

Feb: 7.86%, Mar: 7.12%, Apr: 8.52%, May: 7.94%, Jun: 9.53%, Jul: 9.36%
9.36%
Feb: 1.34%, Mar: 1.32%, Apr: 1.26%, May: 1.14%, Jun: 7.38%, Jul: 8.36%
8.36%
Feb: –, Mar: –, Apr: –, May: 8.2%, Jun: 7.96%, Jul: 7.42%
7.42%
Feb: 2.4%, Mar: 2.64%, Apr: 7.43%, May: 8.36%, Jun: 7.94%, Jul: 6.92%
6.92%
Feb: 2.9%, Mar: 4.97%, Apr: 4.79%, May: 4.57%, Jun: 4.74%, Jul: 4.47%
4.47%

Full Portfolio (63 holdings)

#HoldingSector% to NAV
1TREPS DEPO 10other11.37%
2NCA-NET CURRENT ASSETSother10.78%
3ICICI Bank LimitedFinancial Services9.36%
4Nippon India ETF Gold BeESmf8.51%
5Bharti Airtel LimitedTelecommunication8.36%
6Adani Enterprises LimitedMaterials7.42%
7Adani Green Energy LimitedUtilities6.92%
8Aurobindo Pharma LimitedHealthcare4.47%
9HDFC Life Insurance Company LimitedFinancial Services3.62%
10Indus Towers LimitedTelecommunication3.46%
11ICICI Prudential Asset Management Company LimitedFinancial Services3.19%
12Oil & Natural Gas Corporation LimitedEnergy2.75%
13HDFC Bank LimitedFinancial Services2.26%
14Premier Energies LimitedIndustrials1.88%
15Black Box LimitedInformation Technology1.68%
16Larsen & Toubro LimitedIndustrials1.6%
17Nippon India Silver ETFmf1.57%
18Tech Mahindra LimitedInformation Technology1.53%
19National Bank For Agriculture and Rural Developmentbond1.52%
20Export Import Bank of Indiabond1.16%
21Tata Steel LimitedMaterials1.14%
226.92% Government of Indiabond1.02%
23Tata Motors Passenger Vehicles LimitedConsumer Discretionary0.86%
24DLF LimitedReal Estate0.83%
25Ventive Hospitality LimitedConsumer Discretionary0.78%
26182 Days Treasury Billtbill0.77%
27364 Days Treasury Billtbill0.77%
28CD - CANARA BANKbond0.76%
29Adani Energy Solutions LimitedUtilities0.72%
30Godrej Properties LimitedReal Estate0.6%
31Canara Bank CDbond0.59%
32Bajaj Finserv LimitedFinancial Services0.59%
33Biocon LimitedHealthcare0.56%
346.79% Central Government Securitiesbond0.55%
357.09% Government of Indiabond0.53%
36Varun Beverages LimitedConsumer Staples0.49%
37KNOWLEDGE REALTY TRUSTReal Estate0.47%
387.27% Gujarat SDL ISD 171225 MAT 171234^bond0.39%
397.23% Maharashtra SDLbond0.39%
40Anand Rathi Share and Stock Brokers LimitedFinancial Services0.39%
416.90% Government of India (MD )bond0.36%
426.48% Central Government Securitiesbond0.31%
430% GOI - 12SEP27 STRIPSbond0.3%
44ITC LimitedConsumer Staples0.27%
455.74% Government of India 2026bond0.25%
46Muthoot Finance Ltd CPbond0.23%
470% GOI - 12SEP26 STRIPSbond0.2%
486.64% GOIbond0.18%
497.29% Government of Indiabond0.16%
507.26% Government of India (MD )bond0.16%
51Small Industries Development Bank Of Indiabond0.15%
52364 Days Treasury Billbond0.03%
53quant Gilt Fund - Growth Option - Direct Planmf0.02%
54ITC Limitedother-0.27%
55Varun Beverages Limitedother-0.49%
56Biocon Ltdother-0.57%
57Bajaj Finserv Ltdother-0.59%
58Godrej Properties Limitedother-0.61%
59DLF Limitedother-0.83%
60Tata Motors Passenger Vehicles Limitedother-0.87%
61Tata Steel Limitedother-1.15%
62Larsen & Toubro Limitedother-1.6%
63HDFC Bank Limitedother-2.27%

Frequently Asked Questions

Yes. As of its 31 July 2026 disclosure, ICICI Bank Limited is 9.36% of quant Multi Asset Allocation Fund's net assets — its number 1 holding.
Yes. As of its 31 July 2026 disclosure, Bharti Airtel Limited is 8.36% of quant Multi Asset Allocation Fund's net assets — its number 2 holding.
Yes. As of its 31 July 2026 disclosure, Adani Enterprises Limited is 7.42% of quant Multi Asset Allocation Fund's net assets — its number 3 holding.
Yes. As of its 31 July 2026 disclosure, Adani Green Energy Limited is 6.92% of quant Multi Asset Allocation Fund's net assets — its number 4 holding.
Yes. As of its 31 July 2026 disclosure, Aurobindo Pharma Limited is 4.47% of quant Multi Asset Allocation Fund's net assets — its number 5 holding.

New to reading these? See How to Read a Mutual Fund's Monthly Portfolio Disclosure, or check terms like % to NAV in the glossary.

Source: quant Mutual Fund's SEBI-mandated monthly portfolio disclosure, dated 31 July 2026. Data is for information only, not investment advice. Holdings may have changed since the disclosure date.