Quantum Asset Management Company Private Limited has declared the Net Asset Value (NAV) for its Quantum Gold Fund -Exchange Traded Fund (ETF). The NAV, as of February 02, 2026, stands at Rs. 122.3447.
This announcement pertains to the performance of the Quantum Gold Fund -Exchange Traded Fund (ETF). The declaration of the NAV is a standard practice within the financial markets, providing investors with a key metric to assess the fund’s current value.
The NAV represents the per-unit value of the ETF, reflecting the market value of the fund’s holdings. Investors use this information to track the fund’s performance and make informed decisions about their investments.
Quantum Asset Management Company Private Limited, the entity behind the Quantum Gold Fund -Exchange Traded Fund (ETF), is responsible for managing the fund’s assets and reporting its NAV. This announcement is crucial for all stakeholders in the financial markets.
This information is sourced from the NSE News – Latest Announcements.