Performance report - January 2026
7 strategies, reviewed and ranked.
Mild market weakness and budget anticipation kept volatility elevated while the first SIF cohorts continued to build their public track records.
Top reported return
+0.13%
Altiva - Hybrid Long Short - Edelweiss
7
Strategies observed
7
Returns reported
1 / 7
Positive breadth
-1.75%
Equal-weight average
NAV observation window: 1 Jan 2026 to 31 Jan 2026
January 2026 in one view
+0.13%
Altiva
Strongest reported return
-4.69%
qSIF Ex-Top 100
Lowest reported return
-1.75%
Equal-weight SIF average
1 positive, 6 negative
-0.80%
Nifty 50 context
Context only, not strategy alpha
Category breadth
Hybrid Long Short
4 of 4 strategies reported a return
-0.75%
Altiva
Equity Long Short
2 of 2 strategies reported a return
-2.27%
Diviniti
Equity Ex-Top 100
1 of 1 strategies reported a return
-4.69%
qSIF Ex-Top 100
Strategy return matrix
Direct Plan Growth options ordered by the return observed for January 2026. Newer launches without a comparable observation remain unranked.
| Rank | Strategy | Category | Month | Since inception |
|---|---|---|---|---|
| 1 | Altiva Edelweiss | Hybrid Long Short | +0.13% | +2.96% |
| 2 | Magnum SBI Mutual Fund | Hybrid Long Short | -0.83% | +1.01% |
| 3 | Titanium Tata Mutual Fund | Hybrid Long Short | -1.02% | -0.39% |
| 4 | Diviniti ITI Mutual Fund | Equity Long Short | -1.23% | -0.97% |
| 5 | qSIF Hybrid Quant Mutual Fund | Hybrid Long Short | -1.29% | -1.30% |
| 6 | qSIF Equity Quant Mutual Fund | Equity Long Short | -3.32% | -2.79% |
| 7 | qSIF Ex-Top 100 Quant Mutual Fund | Equity Ex-Top 100 | -4.69% | -6.09% |
Methodology and source notes
Returns use the first and last available AMFI-published NAV observations for Direct Plan Growth options in the selected month. Since-inception values use the strategy's published inception NAV and the month-end observation available in this archive.
Primary source
AMFI SIF NAV History for scheme identifiers, launch dates and daily NAV observations.
Comparability
SIF mandates and benchmarks differ. Equal-weight summaries are descriptive and do not represent a portfolio.
Risk note
Past performance does not indicate future results. Read the SID and KIM before investing.