Compare
SIF Comparison
Compare up to 4 SIFs side by side across NAV, returns, risk metrics, and strategy. All figures are source-verified or calculated from AMFI NAV data.
Fund 1
Magnum Hybrid Long Short
Magnum SIF
Hybrid Long-Short
NAV
₹10.3964
SI
+3.62%
Fund 2
Fund 3
Fund 4
Performance Lab
NAV chart comparison
Magnum Hybrid Long Short Fund
% return indexed to start of period · AMFI NAV data
Side-by-Side
Full comparison
Metric
Basic
ISIN
INF200K30015
AMC
Magnum SIF
Strategy
Hybrid Long-Short
Category
Hybrid
Plan
Regular
Option
—
NAV & Returns
Latest NAV
₹10.3964
NAV Date
2026-07-09
1M Return
+1.72%
3M Return
+3.19%
6M Return
+2.20%
1Y Return
Insufficient history
Since Inception
+3.62%
Risk
Sharpe (SI)
-0.35
Sharpe (3M)
1.82
Max Drawdown (SI)
-2.84%
Max Drawdown (3M)
-0.93%
Riskometer
Pending source verification
Cost
Expense Ratio (TER)
Pending source verification
Exit Load
Pending source verification
Min Investment
₹10 Lakhs (SEBI rule)
Documents
Scheme Info Document
Pending source verification
Factsheet
Pending source verification
Portfolio Disclosure
Pending source verification
Note: Returns, Sharpe ratio, volatility, and drawdown figures are calculated by SIFcase from AMFI NAV data. Figures marked "Insufficient history" require more trading days of data. Never use "best" or "worst" figures here as investment advice — past performance does not guarantee future results. Expense ratios, exit loads, and document links will be added once verified from AMC/ISID sources.