LIVEHybrid Long-Short Fund
Level 3 · Moderate
as of 2026-02
Self-declared by the AMC as per their documentation.

qsif Hybrid Long-Short Fund

Plan
LONG-SHORTHYBRIDMULTI-ASSETREITS-INVITSHIGH-RISKDERIVATIVES-EXPOSUREMULTI-ASSET

Latest NAVNet Asset Value per unit, published daily by AMFI

₹10.2642

AMFI · 2026-04-17

1M ReturnAbsolute return over the last 30 days

+4.04%

3M ReturnAbsolute return over the last 3 months

+3.80%

TER (Regular)Total Expense Ratio: includes base management fee, additional expenses under SEBI Reg. 52(6A)(b) & (c), and GST. Source: AMFI (as of 2026-04-19)

2.18%

Direct: 0.64%

6M ReturnAbsolute return over the last 6 months

-

Since InceptionAbsolute return since the fund's launch

+2.47%

AUMAssets Under Management: total fund size

₹136 Cr

Min. InvestmentMinimum lump sum to invest

₹10 L

InceptionFirst NAV date - when the fund started pricing units

20 Oct 2025

RedemptionHow often you can withdraw your investment

Twice-weekly

Lock-inWhether your investment is locked for a mandatory period

No

NAV History
Trailing Returns

Strategy Summary

A dynamic hybrid fund blending 25–75% equity and 25–75% debt with up to 25% unhedged short positions. Also invests up to 20% in REITs/InvITs for diversification. Aims for better risk-adjusted returns than a traditional balanced fund by using the long-short overlay.

Summary based on official disclosures

Fund Mechanics

Derivatives

Allowed

Short Selling

Allowed

Lock-in Period

No

Redemption Notice

-

Benchmark

Nifty 50 Hybrid Composite Debt 50:50 Index

Fee Notes

Exit load 1% within 15 days

Liquidity Notes

Redemptions every Tuesday and Wednesday

Top Holdings

Portfolio holdings are not yet available for this fund. SEBI requires SIFs to disclose holdings bi-monthly (alternate months) through AMFI. This section will populate automatically once the first disclosure is published.

Scorecards

Independent scoring across 6 dimensions. Methodology being finalized.

Risk & Compliance

Risk band is self-declared by the fund house as per SEBI guidelines.

Level 3 · Moderate
as of 2026-02
Self-declared by the AMC as per their documentation.
Risk band disclosure: Not trackedPortfolio disclosure: Not tracked

Expense Ratio

Data coverage details
NAV history
404 data points
Holdings
Pending disclosure
Benchmark
Index data not yet sourced
Scores
Coming soon

NAV data sourced from AMFI. Holdings from official bi-monthly disclosures. For research purposes only, not investment advice.