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Axis Multi Asset Allocation Fund vs Quant Multi Asset Allocation Fund

Put two or three funds side by side — returns, risk, what they cost and what they actually hold. Figures are for the Direct plan, Growth option, where a fund has one.

  • Axis Multi Asset Allocation Fund
  • Quant Multi Asset Allocation Fund
Axis Multi Asset Allocation Fund compared with Quant Multi Asset Allocation Fund
FundAxis Mutual FundAxis Multi Asset Allocation FundMulti Asset Allocation Fund · Direct planNAV ₹52.95quant Mutual FundQuant Multi Asset Allocation FundMulti Asset Allocation Fund · Direct planNAV ₹182.2
Returns
1 year9.1%16.3% (best of these funds)
3 yearsa year13.7%22.3% (best of these funds)
5 yearsa year9.2%19.9% (best of these funds)
10 yearsa year11.8%18.8% (best of these funds)
Risk
Volatilitya year10.6% (best of these funds)11.5%
Worst fall−27.4% (best of these funds)−32.6%
Best year61.9%104.5% (best of these funds)
Worst year-13.2% (best of these funds)-23.7%
Years in gain88%93% (best of these funds)
Cost and size
Expense ratio1.4%1.21% (best of these funds)
Fund size₹2,611 Cr₹6,528 Cr
Minimum SIP₹100 (best of these funds)₹1,000
Lock-inNoneNone

Returns beyond a year are annualised. The stronger figure in each row is marked, which is not a recommendation: a fund that returned more usually took more risk to do it.

Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance does not guarantee future returns. This page is for information only and is not a recommendation to buy or sell.