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EquityEquity Long-Short

Sapphire Equity Long-Short SIF

Launched 29 Apr 2026·Benchmark Nifty 500 TRI
Plan & Option
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Fund Risk BandVery High
Benchmark Risk BandModerate
For reference only — not a SEBI-mandated fund disclosure.
Latest NAV
₹1011.6960
₹-0.7780 (-0.08%) · 2026-08-24
AUM
₹153 Cr
Since Inception
+1.2%
Absolute, not annualised
Min. Investment
₹10,00,000
Expense Ratio
Latest NAV
1011.6960
0.7780 (-0.08%)2026-08-24
Returns · Source: AMFI NAV history

Trailing returns

Fund return vs. Equity Long-Short category average.

1M
+2.57%
Cat avg +1.37%
3M
+2.06%
Cat avg +5.24%
6M
Cat avg +3.77%
1Y
Not available
SI
+1.17%
Since inception
NAV Performance
₹966.7431₹981.2614₹995.7797₹1010.2980₹1024.8163Apr 2026Jun 2026Jul 2026Aug 2026
Category comparison — 1M returns
Equity Long-Short · 11 funds
isif Equity Long-Short
+4.62%
Altiva Equity Ex- Top
+4.23%
Titanium Equity Long-S
+2.17%
Category average
+1.37%
Key facts
from KIM / ISID
Min. investment₹10,00,000
Expense ratio
AUM₹153 Cr
Inception date29 Apr 2026
BenchmarkNifty 500 TRI
Exit load1% if units are redeemed within one year of allotment, NIL thereafter.
Maximum TER

SIFcase is a research and comparison platform. Information shown is for educational purposes only and should not be considered investment advice. Investments in securities markets are subject to market risks. Please read all official scheme documents carefully before investing. Past performance is not indicative of future results. SIFs require a minimum investment of ₹10 lakh.

Investor Suitability

Is this fund right for you?

Suitable for

Designed for investors seeking long-term capital appreciation by generating alpha through long/short equity strategies across large, mid and small cap companies.

Market Scenario Performance

How this fund may behave across cycles

In Bull Markets

Long exposure is dynamically adjusted between 75% and 100%, increasing in constructive macro environments.

In Bear Markets

Short exposure (unhedged) is dynamically adjusted between 0% and 25%, rising in periods of macro uncertainty or negative outlooks; the short portfolio targets stocks with weak multi-factor scores and bearish sentiment.

Taxation

How returns from this fund are taxed

Short-term capital gains (holding 12 months or less) taxed at 20%; Long-term capital gains (holding more than 12 months) taxed at 12.5% on gains above Rs. 1,25,000 in a financial year

As disclosed by the AMC. Consult a tax advisor for your specific situation.

Risk Analytics

Risk-adjusted metrics

Sharpe Ratio (SI)
Risk-adjusted return per unit of volatility.
-0.20
Volatility (SI)
Annualised standard deviation of daily returns.
11.10%
Max Drawdown (SI)
Peak-to-trough decline in NAV since inception.
-4.72%
Max Drawdown (3M)
Peak-to-trough in last 3 months.
-3.73%
SEBI Riskometer
Risk Band
RISK-LEVEL 5
Sapphire Equity Long-Short SIF
Lower RiskHigher Risk
1
2
3
4
5
Very High
Risk Band
RISK-LEVEL 3
Nifty 500 TRI
Lower RiskHigher Risk
1
2
3
4
5
Moderate
Fund Manager

Who manages this fund

Fund manager details pending verification

Name, tenure, qualifications and other schemes managed will appear here once confirmed against the ISID / SID.

Documents

Scheme documents

No documents published yet

Official filings — Scheme Information Document, Investment Strategy Information Document and portfolio disclosures — will appear here once uploaded and verified.

NAV from AMFIReturns calculated from NAV historyScheme details pending ISID/AMC verification
Scheme information
CategoryEquity
StrategyEquity Long-Short
OptionIDCW
Launch date29 Apr 2026
BenchmarkNifty 500 TRI