isif Equity Ex-Top 100 Long-Short Fund10.0200-1.38%1Dqsif Equity Ex-Top 100 Long-Short Fund10.9745-2.25%1Dwsif Equity Ex-Top 100 Long-Short Fund10.1503-2.06%1DArudha Equity Long-Short Fund9.9350-1.35%1DDiviniti Equity Long Short Fund857.5787-1.55%1DDynaSIF Equity Long - Short Fund10.0615-1.25%1DSapphire Equity Long-Short SIF940.4646-1.74%1Dqsif Equity Long Short Fund10.6329-2.29%1Dwsif Equity Long-Short Fund9.8760-1.94%1DTitanium Equity Long-Short Fund10.0338-1.58%1Dqsif Sector Rotation Long-Short Fund10.0881-1.88%1Disif Hybrid Long-Short Fund10.1731-1.63%1DDynaSIF Active Asset Allocator Long-Short Fund10.3945-0.03%1Dqsif Active Asset Allocator Long-Short Fund12.7076-1.37%1DAltiva Hybrid Long-Short Fund10.8709-0.67%1DApex Hybrid Long-Short Fund10.7074-0.36%1DArudha Hybrid Long-Short Fund10.3930-0.03%1DMagnum Hybrid Long Short Fund10.2425-0.66%1Dqsif Hybrid Long-Short Fund12.7387-0.94%1DTitanium Hybrid Long-Short Fund9.8000-0.89%1DArthaya Equity Long Short Fund9.7395+0.15%1Disif Equity Long-Short Fund10.4300-2.07%1Disif Active Asset Allocator Long-Short Fund10.2423-0.14%1DAltiva Equity Ex- Top 100 Long - Short Fund10.4485-1.92%1DPlatinum Hybrid Long-Short Fund9.9900-0.46%1DRedHex Hybrid Long-Short Fund10.2071-0.17%1DDynaSIF Equity Ex-Top 100 Long - Short Fund11.1153-2.10%1DINFINITY HYBRID LONG-SHORT FUND10.3190-0.47%1DPrism Hybrid Long-Short Fund10.2179-0.19%1DSummit Equity Long-Short Fund10.0400-2.14%1DApex Equity Ex-Top 100 Long-short Fund10.0000-0.50%1DApex Equity Long-Short Fund9.8200-0.91%1DMagnum Equity Ex-Top 100Long Short Fund9.6548-2.34%1DAltiva Equity Long-Short Fund9.9000-1.51%1Disif Equity Ex-Top 100 Long-Short Fund10.0200-1.38%1Dqsif Equity Ex-Top 100 Long-Short Fund10.9745-2.25%1Dwsif Equity Ex-Top 100 Long-Short Fund10.1503-2.06%1DArudha Equity Long-Short Fund9.9350-1.35%1DDiviniti Equity Long Short Fund857.5787-1.55%1DDynaSIF Equity Long - Short Fund10.0615-1.25%1DSapphire Equity Long-Short SIF940.4646-1.74%1Dqsif Equity Long Short Fund10.6329-2.29%1Dwsif Equity Long-Short Fund9.8760-1.94%1DTitanium Equity Long-Short Fund10.0338-1.58%1Dqsif Sector Rotation Long-Short Fund10.0881-1.88%1Disif Hybrid Long-Short Fund10.1731-1.63%1DDynaSIF Active Asset Allocator Long-Short Fund10.3945-0.03%1Dqsif Active Asset Allocator Long-Short Fund12.7076-1.37%1DAltiva Hybrid Long-Short Fund10.8709-0.67%1DApex Hybrid Long-Short Fund10.7074-0.36%1DArudha Hybrid Long-Short Fund10.3930-0.03%1DMagnum Hybrid Long Short Fund10.2425-0.66%1Dqsif Hybrid Long-Short Fund12.7387-0.94%1DTitanium Hybrid Long-Short Fund9.8000-0.89%1DArthaya Equity Long Short Fund9.7395+0.15%1Disif Equity Long-Short Fund10.4300-2.07%1Disif Active Asset Allocator Long-Short Fund10.2423-0.14%1DAltiva Equity Ex- Top 100 Long - Short Fund10.4485-1.92%1DPlatinum Hybrid Long-Short Fund9.9900-0.46%1DRedHex Hybrid Long-Short Fund10.2071-0.17%1DDynaSIF Equity Ex-Top 100 Long - Short Fund11.1153-2.10%1DINFINITY HYBRID LONG-SHORT FUND10.3190-0.47%1DPrism Hybrid Long-Short Fund10.2179-0.19%1DSummit Equity Long-Short Fund10.0400-2.14%1DApex Equity Ex-Top 100 Long-short Fund10.0000-0.50%1DApex Equity Long-Short Fund9.8200-0.91%1DMagnum Equity Ex-Top 100Long Short Fund9.6548-2.34%1DAltiva Equity Long-Short Fund9.9000-1.51%1D
SIFcase

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

DynaSIF Active Asset Allocator Long-Short

DynaSIF SIF

Active Asset Allocator Long-Short

NAV
₹10.3945
SI
+3.75%
Fund 2
Fund 3
Fund 4
Performance Lab

NAV chart comparison

Side-by-Side

Full comparison

Metric
Basic
ISIN
INF579M30075
AMC
DynaSIF SIF
Strategy
Active Asset Allocator Long-Short
Category
Hybrid
Plan
Regular
Option
Growth
Scheme Category
Active Asset Allocator Long-Short Fund
Inception Date
25 Mar 2026
Benchmark
25% BSE SENSEX TRI + 60% CRISIL Short Term Bond Fund Index + 15% iCOMDEX Composite Index
Fund Manager(s)
—
Sponsor
360 ONE WAM Limited
Trustee
360 ONE Asset Trustee Limited
Registrar
Computer Age Management Services Limited (CAMS)
NAV & Returns
Latest NAV
₹10.3945
NAV Date
2026-10-07
1M Return
-1.19%
3M Return
+0.04%
6M Return
+3.60%
1Y Return
Insufficient history
Since Inception
+3.75%
Risk
Sharpe (SI)
0.18
Sharpe (3M)
-1.79
Max Drawdown (SI)
-1.58%
Max Drawdown (3M)
-1.58%
Risk
Moderate Risk
Risk Band
RISK-LEVEL 3
Cost
Expense Ratio (TER)
2.7400%
Exit Load
0.5% if redeemed within 3 months from date of allotment of units . No exit load is payable for redemption after 3 months from the date of allotment of units
Min Investment
₹10,00,000
Additional Investment
₹20,000
Taxation
Long-term capital gains (holding more than 12 months, or 24 months for unlisted units) are taxed at 12.5%; short-term gains are taxed at the investor's applicable slab rate.
AUM & Fundamentals
AUM
₹195.00 Cr
P/E
—
P/B
—
Dividend Yield
—
ROE
—
# Holdings
—
Top 5 Stocks Weight
—
Top 10 Stocks Weight
—
Top 3 Sector Weight
—
Large Cap %
—
Mid Cap %
—
Small Cap %
—
Redemption & Suitability
Redemption Frequency
Every Monday of the week. *Next business day in case Monday is a non-business day.
Suitable For
Designed for investors seeking long-term capital appreciation and income generation through dynamic allocation across equity, debt, equity and debt derivatives, InVITs, and commodity derivatives, with limited short exposure via derivatives.
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.