isif Equity Ex-Top 100 Long-Short Fund10.4200+0.00%1Dqsif Equity Ex-Top 100 Long-Short Fund11.3231+0.10%1Dwsif Equity Ex-Top 100 Long-Short Fund10.7866+0.57%1DArudha Equity Long-Short Fund10.5640+0.04%1DDiviniti Equity Long Short Fund937.6225+0.31%1DDynaSIF Equity Long - Short Fund10.7732+0.16%1DSapphire Equity Long-Short SIF1012.4740+0.14%1Dqsif Equity Long Short Fund10.9614+0.17%1Dwsif Equity Long-Short Fund10.6751+0.33%1DTitanium Equity Long-Short Fund10.5775+0.07%1Dqsif Sector Rotation Long-Short Fund10.1279+0.30%1Disif Hybrid Long-Short Fund10.6733-0.06%1DDynaSIF Active Asset Allocator Long-Short Fund10.5373+0.24%1Dqsif Active Asset Allocator Long-Short Fund11.4639-0.17%1DAltiva Hybrid Long-Short Fund11.0456+0.18%1DApex Hybrid Long-Short Fund10.6497-0.10%1DArudha Hybrid Long-Short Fund10.3560+0.05%1DMagnum Hybrid Long Short Fund10.5794+0.17%1DTitanium Hybrid Long-Short Fund10.1357+0.10%1Dqsif Hybrid Long-Short Fund10.9382+0.16%1DArthaya Equity Long Short Fund10.0407-0.03%1Disif Equity Long-Short Fund10.8800+0.28%1Disif Active Asset Allocator Long-Short Fund10.4391+0.12%1DAltiva Equity Ex- Top 100 Long - Short Fund11.2997+0.12%1DPlatinum Hybrid Long-Short Fund10.1950+0.09%1DRedHex Hybrid Long-Short Fund10.1837+0.16%1DDynaSIF Equity Ex-Top 100 Long - Short Fund11.2360+0.27%1DINFINITY HYBRID LONG-SHORT FUND10.3160+0.33%1DPrism Hybrid Long-Short Fund10.1601+0.11%1DSummit Equity Long-Short Fund10.5400-0.09%1Disif Equity Ex-Top 100 Long-Short Fund10.4200+0.00%1Dqsif Equity Ex-Top 100 Long-Short Fund11.3231+0.10%1Dwsif Equity Ex-Top 100 Long-Short Fund10.7866+0.57%1DArudha Equity Long-Short Fund10.5640+0.04%1DDiviniti Equity Long Short Fund937.6225+0.31%1DDynaSIF Equity Long - Short Fund10.7732+0.16%1DSapphire Equity Long-Short SIF1012.4740+0.14%1Dqsif Equity Long Short Fund10.9614+0.17%1Dwsif Equity Long-Short Fund10.6751+0.33%1DTitanium Equity Long-Short Fund10.5775+0.07%1Dqsif Sector Rotation Long-Short Fund10.1279+0.30%1Disif Hybrid Long-Short Fund10.6733-0.06%1DDynaSIF Active Asset Allocator Long-Short Fund10.5373+0.24%1Dqsif Active Asset Allocator Long-Short Fund11.4639-0.17%1DAltiva Hybrid Long-Short Fund11.0456+0.18%1DApex Hybrid Long-Short Fund10.6497-0.10%1DArudha Hybrid Long-Short Fund10.3560+0.05%1DMagnum Hybrid Long Short Fund10.5794+0.17%1DTitanium Hybrid Long-Short Fund10.1357+0.10%1Dqsif Hybrid Long-Short Fund10.9382+0.16%1DArthaya Equity Long Short Fund10.0407-0.03%1Disif Equity Long-Short Fund10.8800+0.28%1Disif Active Asset Allocator Long-Short Fund10.4391+0.12%1DAltiva Equity Ex- Top 100 Long - Short Fund11.2997+0.12%1DPlatinum Hybrid Long-Short Fund10.1950+0.09%1DRedHex Hybrid Long-Short Fund10.1837+0.16%1DDynaSIF Equity Ex-Top 100 Long - Short Fund11.2360+0.27%1DINFINITY HYBRID LONG-SHORT FUND10.3160+0.33%1DPrism Hybrid Long-Short Fund10.1601+0.11%1DSummit Equity Long-Short Fund10.5400-0.09%1D
SIFcase

SEBI Disclosure

Regulatory registration details, commission disclosures, and mandated risk disclaimers for Aureva Capital Private Limited.

Issued by Aureva Capital Private Limited  ·  CIN: U66190MH2025PTC460862

01

Registration & Regulatory Status

EntityAureva Capital Private Limited
CINU66190MH2025PTC460862
AMFI Registration Number (ARN)ARN-346247
AMFI Registered Persons Number (APRN)APRN0797924
Startup India RecognitionDIPP232750
Principal OfficerSmita Sahai (smita.sahai@aurevawealth.com)

Aureva Capital Private Limited is registered with the Association of Mutual Funds in India (AMFI) as a Mutual Fund Distributor. This registration permits us to distribute mutual fund and SIF schemes and to earn distribution commission from Asset Management Companies (AMCs) in connection with that activity.

02

What We Are, and What We Are Not

We are a Mutual Fund and SIF Distributor. We are not registered with SEBI as an Investment Adviser (IA) under the SEBI (Investment Advisers) Regulations, 2013, and we do not provide investment advice for a fee.

This distinction matters because it defines the nature of our relationship with you:

  • As a distributor, we can help you compare, select, and transact in SIF schemes, and we may recommend schemes based on general suitability factors you share with us.
  • We do not conduct the formal risk-profiling and fiduciary duty obligations that apply to a SEBI Registered Investment Adviser, and any guidance we provide should not be construed as personalised investment advice under SEBI's IA framework.
  • If you require formal, fee-based investment advisory services with fiduciary obligations, you should engage a SEBI-registered Investment Adviser separately.
03

Commission & Conflict-of-Interest Disclosure

As an AMFI-registered distributor, Aureva Capital Private Limited earns distribution commission (as applicable and as permitted under SEBI/AMFI norms) from the AMCs whose schemes are transacted through us. This is a standard and disclosed part of the mutual fund distribution model in India, but it is a conflict of interest you should be aware of:

  • Commission rates may vary by AMC and by scheme.
  • SIFcase's data, rankings, comparisons, and performance labels — including “Best Performer” and “Worst Performer” designations — are commission blind: they are generated solely from AMFI NAV data using a standard, disclosed calculation methodology. Commission differences across AMCs have no influence on how funds are displayed, sorted, or ranked on this platform.
  • We do not receive any additional payment from AMCs for placement, prominence, or favourable coverage on SIFcase's editorial content (News, Insights, SIF 101).
  • You are not charged any additional fee by us for using SIFcase's research and comparison tools; our compensation comes from the AMC side of a transaction, not from you directly, unless separately disclosed at the time of a specific engagement.
04

Mandated Risk Disclaimer

SEBI requires the following disclaimer to accompany SIF-related communications, reproduced here without modification:

“Investments in Specialized Investment Fund involves relatively higher risk including potential loss of capital, liquidity risk and market volatility. Please read all investment strategy related documents carefully before making the investment decision.”

Additionally: mutual fund and SIF investments are subject to market risk. Please read all scheme-related documents, including the Investment Strategy Information Document (ISID), Scheme Information Document (SID), and Key Information Memorandum (KIM), carefully before investing. Past performance is not indicative of future results.

05

Data Source Disclosure

NAV, returns, and performance related data are sourced from AMFI's official data feeds. Scheme level details are sourced from AMC-published scheme documents (ISID/SID/KIM) and APIs. Risk metrics such as Sharpe ratio, volatility, and drawdown are calculated by SIFcase from this NAV history. Where data is unavailable or a scheme has insufficient history for a given metric, this is indicated on the relevant page rather than estimated.

06

Code of Conduct

As an AMFI-registered distributor, Aureva Capital Private Limited abides by the AMFI Code of Conduct for Intermediaries of Mutual Funds, including obligations around fair and unbiased representation of scheme information, avoidance of misleading claims about returns, and appropriate disclosure of risks.

07

Investor Grievances

Investor grievances relating to SIFcase or Aureva Capital Private Limited can be raised with our Principal Officer or at support@sifcase.com. If unresolved to your satisfaction, grievances relating to SEBI-regulated products can be escalated through SEBI's SCORES portal or the SMART Online Dispute Resolution (ODR) Portal.

Questions about our regulatory status?

Contact our Principal Officer at smita.sahai@aurevawealth.com or reach us at support@sifcase.com.