LIVEActive Asset Allocator Long-Short Fund

DynaSIF Active Asset Allocator Long-Short Fund

Plan
MULTI-ASSETACTIVE-ALLOCATIONCOMMODITIESINVITSOPTIONS-STRATEGYHIGH-RISKDERIVATIVES-EXPOSURECOMMODITIES-RISK

Latest NAVNet Asset Value per unit, published daily by AMFI

₹10.1788

AMFI · 2026-04-17

1M ReturnAbsolute return over the last 30 days

-

3M ReturnAbsolute return over the last 3 months

-

TER (Regular)Total Expense Ratio: includes base management fee, additional expenses under SEBI Reg. 52(6A)(b) & (c), and GST. Source: AMFI

-

6M ReturnAbsolute return over the last 6 months

-

Since InceptionAbsolute return since the fund's launch

+1.60%

AUMAssets Under Management: total fund size

Min. InvestmentMinimum lump sum to invest

₹10 L

InceptionFirst NAV date - when the fund started pricing units

30 Mar 2026

RedemptionHow often you can withdraw your investment

Interval

Lock-inWhether your investment is locked for a mandatory period

No

Scorecards

Coming Soon

We’re developing a rigorous, independent scoring framework for SIFs. Six dimensions — Transparency, Complexity, Liquidity, Concentration, Mandate Clarity, and Benchmark Relevance — will be scored on a 0–100 scale using only official SEBI and AMFI disclosures.

The methodology is being refined to ensure it's genuinely useful, not just a number. We'd rather ship it right than ship it fast.

Disclosure SLA

Risk band (monthly): Not trackedPortfolio (alternate months): Not tracked