SIF Strategy Hub

SIF Strategies — Designed for Precision Investing

Explore how Specialized Investment Funds combine flexibility, long-short strategies and active allocation to deliver smarter outcomes.

Equity
Long-short overlay enabled
Debt
Long-short overlay enabled
Hybrid
Long-short overlay enabled
₹10L+
Min. ticket
9+ AMCs
Live brands
SEBI
Regulated
Strategy Universe

Three Pillars of SIF Investing

Equity, Debt and Hybrid — each engineered for a distinct outcome.

Equity

Equity SIF Strategies

Designed to capture alpha across market cycles using long and short equity positions.

01

Equity Long-Short Fund

AllocationMin. 80% in equities
Short ExposureUp to 25% via derivatives
PositioningCapture both rising and falling markets

Flexible strategy ranging from directional equity to market-neutral positioning.

02

Equity ex Top 100 Long-Short

AllocationMin. 65% in mid & small caps
Short ExposureUp to 25%
PositioningBeyond large-cap alpha

Higher growth opportunities outside the top 100 with active risk management.

03

Sector Rotation Long-Short

AllocationMaximum 4 sectors
Short ExposureUp to 25% sector-level
PositioningSector-based conviction bets

Targets sector cycles and relative performance shifts with concentrated exposure.

Debt

Debt SIF Strategies

Designed for interest-rate positioning and relative-value strategies in fixed income.

01

Debt Long-Short Fund

AllocationAcross durations
Short ExposureVia debt derivatives
PositioningInterest rate strategies

Tactical positioning across yield curves and duration cycles.

02

Sectoral Debt Long-Short

AllocationMin. 2 sectors • Max 75% per sector
Short ExposureUp to 25%
PositioningSector spreads & relative value

Captures relative-value opportunities within fixed-income sectors.

Hybrid

Hybrid SIF Strategies

Combines equity and debt with dynamic allocation and hedging.

01

Hybrid Long-Short

AllocationEquity ≥ 25% • Debt ≥ 25%
Short ExposureUp to 25%
PositioningBalanced with downside hedge

Balanced allocation with active downside protection.

02

Active Asset Allocator

AllocationEquity, Debt, REITs, Commodities
Short ExposureUp to 25%
PositioningMulti-asset diversified alpha

Dynamic multi-asset strategy designed for diversified alpha generation.

Live Landscape

Explore Live SIF Opportunities

Real schemes from India's leading AMCs — categorised and curated.

★ HeroHybrid
Edelweiss MF
Altiva SIF

Altiva Hybrid Long-Short SIF

First SIF launched in India — equity + debt + derivatives + REITs.

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PopularHybrid
SBI Mutual Fund
Magnum SIF

Magnum Hybrid Long-Short SIF

Balanced long-short allocation with strong AUM traction.

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TrendingHybrid
Tata Mutual Fund
Titanium SIF

Titanium Hybrid Long-Short

Tactical multi-asset allocation with long-short overlay.

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NewHybrid
Bandhan Mutual Fund
Arudha SIF

Arudha Hybrid Long-Short

Multi-asset, hedged approach for steadier outcomes.

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TrendingHybrid
ICICI Prudential MF
iSIF SIF

iSIF Hybrid Long-Short

Institutional-grade hybrid allocation framework.

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NewHybrid
Quant Mutual Fund
qSIF SIF

qSIF Hybrid Long-Short

High-alpha, dynamic hybrid allocation.

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NewHybrid
DSP Mutual Fund
Apex SIF

Apex Hybrid SIF

Balanced long-short hybrid strategy.

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NewEquity
ITI Mutual Fund
Diviniti SIF

Diviniti Equity Long-Short

Directional equity with active hedging overlay.

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TrendingEquity
Quant Mutual Fund
qSIF SIF

qSIF Equity Long-Short

Aggressive alpha through long-short equity.

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PopularEquity
360 ONE Asset
DynaSIF SIF

DynaSIF Equity Long-Short

HNI-focused alpha generation strategy.

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NewEquity
Bandhan MF
Arudha SIF

Arudha Equity Long-Short

Long-short equity within the Arudha SIF brand.

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TrendingEquity
ICICI Prudential MF
iSIF SIF

iSIF Ex-Top 100

Mid/small-cap long-short — high growth beyond large caps.

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NewEquity
Quant MF
qSIF SIF

qSIF Ex-Top 100

Mid/small-cap focused long-short alpha.

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TrendingMulti-Asset
360 ONE Asset
DynaSIF SIF

DynaSIF Active Asset Allocator

Dynamic multi-asset allocation across cycles.

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Live AMC SIF Brands
Altiva — EdelweissMagnum — SBITitanium — TataArudha — BandhaniSIF — ICICI PruqSIF — QuantApex — DSPDiviniti — ITIDynaSIF — 360 ONEPlatinum — Mirae
Decision Framework

How to Choose the Right SIF Strategy

Three lenses — risk, market view, and portfolio role — to narrow your choice.

Based on Risk Appetite

  • HighEquity SIF
  • ModerateHybrid SIF
  • ConservativeDebt SIF

Based on Market View

  • BullishEquity Long-Short
  • VolatileHybrid
  • Rate-drivenDebt

Based on Allocation Need

  • CoreNifty + Hybrid
  • SatelliteSector / Midcap SIF
  • TacticalLong-Short
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Don't Guess Your Allocation

SIF selection is not just about strategy — it's about how much to allocate.

“SIF strategies are not about choosing products. They are about structuring portfolios intelligently.”