Interval hybrid: 35-75% equity, 25-65% debt, <=25% unhedged short via equity/debt derivatives, BlackRock signal research + Aladdin
Risk
Moderate
Minimum
₹10,00,000
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SIF fund directory
Explore 33 SIF schemes across 17 AMCs. Compare strategy, risk, minimum investment and launch status in one research directory.
Explore by category
Search the complete directory or filter by strategy category and launch status.
Showing 33 of 33 SIFs
Jio BlackRock Mutual Fund
Interval hybrid: 35-75% equity, 25-65% debt, <=25% unhedged short via equity/debt derivatives, BlackRock signal research + Aladdin
Moderate
Minimum ₹10,00,000
Kotak Mahindra Mutual Fund
Interval hybrid: 35-75% equity vs 25-65% debt and money market with <=25% unhedged short via derivatives; NSE + BSE listing proposed
Moderate
Minimum ₹10,00,000
HSBC Mutual Fund
Interval hybrid with 25-75% equity, 25-75% debt and <=25% unhedged short via derivatives
Moderate
Minimum ₹10,00,000

Mirae Asset Mutual Fund
Income-oriented: arbitrage, covered calls + debt with limited unhedged equity & short via derivatives
Moderate
Minimum ₹10,00,000

Edelweiss Mutual Fund
Arbitrage + directional equity + fixed income
High
Minimum ₹10,00,000
SBI Mutual Fund
Multi-asset hybrid with tactical equity hedging
High
Minimum ₹10,00,000

Quant Mutual Fund
Quant-driven multi-factor hybrid with short overlay
High
Minimum ₹10,00,000
Tata Mutual Fund
Conservative hybrid with systematic derivatives hedging
High
Minimum ₹10,00,000

Bandhan Mutual Fund
Balanced hybrid with pair-trade hedging
High
Minimum ₹10,00,000

ICICI Prudential
Balanced allocation with dynamic hedging framework
High
Minimum ₹10,00,000

Aditya Birla Sun Life Mutual Fund
ESF+ multi-strategy: arbitrage, directional, special situations
High
Minimum ₹10,00,000
Interval hybrid: 35-75% equity, 25-65% debt, <=25% unhedged short via equity/debt derivatives, BlackRock signal research + Aladdin
Risk
Moderate
Minimum
₹10,00,000
Interval hybrid: 35-75% equity vs 25-65% debt and money market with <=25% unhedged short via derivatives; NSE + BSE listing proposed
Risk
Moderate
Minimum
₹10,00,000
Interval hybrid with 25-75% equity, 25-75% debt and <=25% unhedged short via derivatives
Risk
Moderate
Minimum
₹10,00,000
Income-oriented: arbitrage, covered calls + debt with limited unhedged equity & short via derivatives
Risk
Moderate
Minimum
₹10,00,000
Arbitrage + directional equity + fixed income
Risk
High
Minimum
₹10,00,000
Multi-asset hybrid with tactical equity hedging
Risk
High
Minimum
₹10,00,000
Quant-driven multi-factor hybrid with short overlay
Risk
High
Minimum
₹10,00,000
Conservative hybrid with systematic derivatives hedging
Risk
High
Minimum
₹10,00,000
Balanced hybrid with pair-trade hedging
Risk
High
Minimum
₹10,00,000
Balanced allocation with dynamic hedging framework
Risk
High
Minimum
₹10,00,000
ESF+ multi-strategy: arbitrage, directional, special situations
Risk
High
Minimum
₹10,00,000
Invesco Mutual Fund
Bottom-up equity long-short: 80-100% listed equity with <=25% tactical unhedged short via derivatives
Very High
Minimum ₹10,00,000

ICICI Prudential Mutual Fund
Listed Nifty 500 equity with limited short exposure via derivatives
Very High
Minimum ₹10,00,000

Quant Mutual Fund
Quant long-short with momentum + mean-reversion
Very High
Minimum ₹10,00,000

ITI Mutual Fund
Fundamental equity selection with systematic hedging
Very High
Minimum ₹10,00,000
360 ONE Asset
Dynamic equity allocation with tactical short positions
Very High
Minimum ₹10,00,000

Bandhan Mutual Fund
Long-biased (80–100% equity) with ≤25% unhedged short
Very High
Minimum ₹10,00,000

Franklin Templeton
Multi-factor quant + macro-driven allocation
Very High
Minimum ₹10,00,000
The Wealth Company MF
Long-biased equity strategy across market caps with derivatives overlay
Very High
Minimum ₹10,00,000
Tata Mutual Fund
Long-biased equity (80–100%) with ≤25% unhedged short via derivatives
Very High
Minimum ₹10,00,000

Union Mutual Fund
Active multi-cap long/short on F&O universe with ≤25% unhedged short
Very High
Minimum ₹10,00,000

Aditya Birla Sun Life Mutual Fund
Open-ended listed-equity strategy with limited derivative short exposure
High
Minimum ₹10,00,000
Bottom-up equity long-short: 80-100% listed equity with <=25% tactical unhedged short via derivatives
Risk
Very High
Minimum
₹10,00,000
Listed Nifty 500 equity with limited short exposure via derivatives
Risk
Very High
Minimum
₹10,00,000
Quant long-short with momentum + mean-reversion
Risk
Very High
Minimum
₹10,00,000
Fundamental equity selection with systematic hedging
Risk
Very High
Minimum
₹10,00,000
Dynamic equity allocation with tactical short positions
Risk
Very High
Minimum
₹10,00,000
Long-biased (80–100% equity) with ≤25% unhedged short
Risk
Very High
Minimum
₹10,00,000
Multi-factor quant + macro-driven allocation
Risk
Very High
Minimum
₹10,00,000
Long-biased equity strategy across market caps with derivatives overlay
Risk
Very High
Minimum
₹10,00,000
Long-biased equity (80–100%) with ≤25% unhedged short via derivatives
Risk
Very High
Minimum
₹10,00,000
Active multi-cap long/short on F&O universe with ≤25% unhedged short
Risk
Very High
Minimum
₹10,00,000
Open-ended listed-equity strategy with limited derivative short exposure
Risk
High
Minimum
₹10,00,000
360 ONE Asset
Mid/small-cap alpha (65-100% ex-top 100) with <=25% unhedged short via derivatives
Very High
Minimum ₹10,00,000

Edelweiss Mutual Fund
Mid + small cap long-short with up to 25% unhedged short via derivatives
High
Minimum ₹10,00,000

ICICI Prudential
Mid/small-cap alpha with systematic short overlay
Very High
Minimum ₹10,00,000

Quant Mutual Fund
Quant ex-top-100 long-short with derivative hedging
Very High
Minimum ₹10,00,000
The Wealth Company MF
Mid/small-cap alpha (65–100% ex-top 100) with ≤25% unhedged short via derivatives
Very High
Minimum ₹10,00,000
SBI Mutual Fund
Open-ended equity strategy investing primarily outside the top 100 by market capitalisation, with limited derivative short exposure
High
Minimum ₹10,00,000

Aditya Birla Sun Life Mutual Fund
Open-ended Ex-Top 100 equity strategy with limited derivative short exposure
High
Minimum ₹10,00,000
Mid/small-cap alpha (65-100% ex-top 100) with <=25% unhedged short via derivatives
Risk
Very High
Minimum
₹10,00,000
Mid + small cap long-short with up to 25% unhedged short via derivatives
Risk
High
Minimum
₹10,00,000
Mid/small-cap alpha with systematic short overlay
Risk
Very High
Minimum
₹10,00,000
Quant ex-top-100 long-short with derivative hedging
Risk
Very High
Minimum
₹10,00,000
Mid/small-cap alpha (65–100% ex-top 100) with ≤25% unhedged short via derivatives
Risk
Very High
Minimum
₹10,00,000
Open-ended equity strategy investing primarily outside the top 100 by market capitalisation, with limited derivative short exposure
Risk
High
Minimum
₹10,00,000
Open-ended Ex-Top 100 equity strategy with limited derivative short exposure
Risk
High
Minimum
₹10,00,000

Quant Mutual Fund
Concentrated in 4 of 12 sectors with derivatives short overlay
Very High
Minimum ₹10,00,000
Concentrated in 4 of 12 sectors with derivatives short overlay
Risk
Very High
Minimum
₹10,00,000

ICICI Prudential Mutual Fund
Dynamic multi-asset across equity, debt, gold, silver, InvITs
High
Minimum ₹10,00,000
360 ONE Asset
Dynamic asset allocation across equity, debt, commodities
High
Minimum ₹10,00,000

Quant Mutual Fund
Quant-driven tactical allocation with long-short overlay
High
Minimum ₹10,00,000
Dynamic multi-asset across equity, debt, gold, silver, InvITs
Risk
High
Minimum
₹10,00,000
Dynamic asset allocation across equity, debt, commodities
Risk
High
Minimum
₹10,00,000
Quant-driven tactical allocation with long-short overlay
Risk
High
Minimum
₹10,00,000
SIF categories explained
Specialized Investment Funds are a SEBI-regulated investment category with flexible mandates such as long-short equity, hybrid portfolios, sector rotation and dynamic asset allocation. This directory keeps live schemes and announced NFOs together so investors can understand the full Indian SIF universe.
Hybrid equity-debt portfolios with hedging and limited short exposure.
Explore strategyLong-biased equity strategies with a controlled derivatives short overlay.
Explore strategyMid- and small-cap focused strategies outside India's top 100 companies.
Explore strategyTactical allocation across sectors with the ability to hedge through derivatives.
Explore strategyDynamic allocation across equity, debt and other permitted asset classes.
Explore strategyA fund's category explains its broad mandate, but not its complete risk. Review the Scheme Information Document, liquidity, exit load, expenses and portfolio role before investing.
SIFPrime currently tracks 33 launched or announced SIF schemes across 17 AMCs. The directory distinguishes live schemes from funds that are still in an NFO period.
The minimum aggregate investment is generally ₹10 lakh per investor across SIF strategies offered by one AMC. Always confirm the applicable minimum and transaction conditions in the scheme documents.
Start with the mandate: hybrid, equity long-short, ex-top-100, sector rotation or active asset allocation. Then compare risk, liquidity, exit load, expenses, benchmark and portfolio fit rather than selecting only by recent NAV movement.
Next step
Compare shortlisted SIFs or speak with an advisor about portfolio fit.