ISINISIN. The unique 12-character code that identifies this exact fund and plan, used on official documents and platforms.
INF336L30015
StrategyStrategy. The specific SIF approach this fund follows — e.g. Equity Long-Short, Sector Rotation.
Hybrid Long-Short
CategoryCategory. Whether the fund invests mainly in equities, a mix of equity and debt (hybrid), or fixed income (debt).
Hybrid
PlanPlan. Regular plans are bought through a distributor (who earns a trail commission); Direct plans are bought straight from the AMC at a lower expense ratio.
Regular
OptionOption. Growth reinvests profits into the NAV; IDCW pays out profits periodically as cash.
Growth
Scheme CategoryScheme category. The SEBI-defined sub-category this SIF is registered under.
Hybrid Long-Short Fund
Inception DateThe date the fund first started, and its first published NAV.
19 Jun 2026
BenchmarkBenchmark. The index this fund's performance is measured against.
NIFTY 50 Hybrid Composite Debt 50:50 Index
Fund Manager(s)Who runs the fund day to day.
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SponsorSponsor. The entity that set up the fund — usually the AMC's parent company.
RedHex SIF
RegistrarRegistrar (RTA). The agency that maintains investor records and processes transactions on the AMC's behalf.
Computer Age Management Services Limited
Latest NAVNAV. Net Asset Value — the price of one unit of the fund today.
₹10.1837
1M ReturnReturn over the last 1 month.
+1.08%
3M ReturnReturn over the last 3 months.
Insufficient history
6M ReturnReturn over the last 6 months.
Insufficient history
1Y ReturnReturn over the last 1 year.
Insufficient history
Since InceptionSince inception. Return from the fund's very first NAV to today.
+1.63%
Sharpe (SI)Sharpe ratio. Return earned per unit of risk taken. Higher is better — above 1 is generally considered good.
2.53
Sharpe (3M)Sharpe ratio. Return earned per unit of risk taken. Higher is better — above 1 is generally considered good.
Insufficient history
Max Drawdown (SI)Max drawdown. The biggest fall from the fund's peak value to its lowest point after.
-0.21%
Max Drawdown (3M)Max drawdown. The biggest fall from the fund's peak value to its lowest point after.
Insufficient history
RiskRisk. The fund's SEBI riskometer rating, from Low to Very High.
Low-to-Moderate Risk
Risk BandRisk band. The numeric SEBI riskometer level (1 = Low, 5 = Very High) behind the risk label.
RISK-LEVEL 2
Expense Ratio (TER)Expense ratio (TER). The Total Expense Ratio — the % of your investment the AMC charges each year for running the fund.
Pending source verification
Exit LoadExit load. A fee charged if you redeem before a set holding period, deducted from your redemption amount.
i. If the Units are redeemed / switched-out on or before 1 year from the date of allotment: 2.00%
ii. If the Units are redeemed / switched-out after 1 year from the date of allotment: Nil
Min InvestmentMinimum investment. The smallest amount you can invest to start, set by SEBI's ₹10 lakh SIF rule unless the AMC sets it higher.
₹10,00,000
Additional InvestmentThe smallest amount you can add to an existing investment in this fund.
₹1,000
TaxationHow gains from this fund are taxed, based on its underlying asset mix.
Long-term capital gains (units held more than 12 months) are taxed at 12.5%
AUMAUM. Assets Under Management — the total money the fund currently manages.
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P/EP/E ratio. Price-to-Earnings — how expensive the fund's holdings are relative to their profits. Higher can mean pricier, growth-oriented stocks.
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P/BP/B ratio. Price-to-Book — how the fund's holdings are priced relative to their net asset value on the books.
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Dividend YieldThe average annual dividend income from the fund's holdings, as a % of their price.
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ROEROE. Return on Equity — how efficiently the fund's holdings turn shareholder capital into profit.
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# HoldingsThe number of distinct securities the fund currently holds.
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Top 5 Stocks Weight% of the fund invested in its five largest holdings — higher means more concentrated.
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Top 10 Stocks Weight% of the fund invested in its ten largest holdings — higher means more concentrated.
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Top 3 Sector Weight% of the fund invested in its three largest sectors — higher means less sector diversification.
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Large Cap %% invested in large, well-established companies — typically steadier but slower-growing.
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Mid Cap %% invested in mid-sized companies — a middle ground on growth potential and risk.
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Small Cap %% invested in smaller companies — higher growth potential but typically more volatile.
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Redemption FrequencyHow often you're allowed to withdraw money from this fund — SIFs can restrict redemptions to set windows.
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Suitable ForThe kind of investor profile the AMC considers a good fit for this fund.
This fund is designed for affluent and HNI investors seeking income and capital appreciation over the medium to long term, through a combination of fixed income and equity/equity-related securities.