LIVEHybrid Long-Short Fund

Titanium Hybrid Long-Short Fund

Plan
HYBRIDTACTICAL-ALLOCATIONMONTHLY-LIQUIDITYVERY-HIGH-RISKLIQUIDITY-RISKDERIVATIVES-EXPOSURE

Latest NAVNet Asset Value per unit, published daily by AMFI

₹9.9593

AMFI · 2026-04-21

1M ReturnAbsolute return over the last 30 days

+3.98%

3M ReturnAbsolute return over the last 3 months

+0.68%

TER (Regular)Total Expense Ratio: includes base management fee, additional expenses under SEBI Reg. 52(6A)(b) & (c), and GST. Source: AMFI (as of 2026-04-16)

2.63%

Direct: 0.84%

6M ReturnAbsolute return over the last 6 months

-

Since InceptionAbsolute return since the fund's launch

-0.41%

AUMAssets Under Management: total fund size

₹365 Cr

Min. InvestmentMinimum lump sum to invest

₹10 L

InceptionFirst NAV date - when the fund started pricing units

17 Dec 2025

RedemptionHow often you can withdraw your investment

Monthly

Lock-inWhether your investment is locked for a mandatory period

No

Portfolio 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.