GrowingWithAK

Altiva SIF · SIF · SIF-11

Altiva Hybrid Long-Short Fund - Regular Plan - Growth

Hybrid · Hybrid Long-Short Fund · Interval Fund · Regular

ISIN (Payout): INF754K30052

1 Month

+1.81%

3 Months

+5.02%

6 Months

+4.96%

Since Inception

+7.96%

from 2025-10-24

CAGR (Inception)

< 1 yr history

NAV 10.8051 as of 2026-07-07 · 256 days of history

Max Drawdown

-2.12%

Worst peak‑to‑trough fall since inception

Annualised Volatility

3.48%

How bumpy the daily NAV journey is

Based on 256 days of NAV history. Green < 5% MDD / < 12% vol · Amber 5–10% / 12–20% · Red > 10% / > 20%

2025-10-24 → 2026-07-07

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Since inceptionReturnMax drawdown

All rebased to ₹100 at the SIF's inception. SIFs are long-short (hedged) — they aim for a smaller max drawdown rather than out-running a fully-invested fund/index in a rising market, so weigh the drawdown column alongside return.

How each calendar month went: green months gained, red months lost. Deeper colour = bigger move.

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Year
2026 +0.0 +0.6 -1.6 +3.1 +1.1 +1.3 +0.6 · · · · · +5.2
2025 · · · · · · · · · · +0.9 +1.6 +2.6

All values in %. Each cell compares the last NAV of the month with the last NAV of the month before. The latest month is month-to-date; the Year column compounds the months shown on that row.

Minimum investment ₹10 lakh. SIF data from AMFI. Not investment advice. Verify all information with the fund house before investing.