Magnum SIF · SIF · SIF-16
Magnum Hybrid Long Short Fund - Regular Plan - Income Distribution Cum Capital Withdrawal
Hybrid · Hybrid Long-Short Fund · Interval Fund · Regular
ISIN (Payout): INF200K30023 ISIN (Reinvest): INF200K30031
Returns (as of 2026-07-07)
1 Month
+2.22%
3 Months
+4.46%
6 Months
+2.25%
Since Inception
+4.13%
from 2025-10-29
CAGR (Inception)
—
< 1 yr history
Risk Indicators
Max Drawdown
-2.84%
Worst peak‑to‑trough fall since inception
Annualised Volatility
3.71%
How bumpy the daily NAV journey is
Based on 251 days of NAV history. Green < 5% MDD / < 12% vol · Amber 5–10% / 12–20% · Red > 10% / > 20%
Growth of ₹100 since inception
2025-10-29 → 2026-07-07
| Since inception | Return | Max 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.
Monthly returns · since inception (Oct 2025)
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 | -0.9 | +0.7 | -2.2 | +2.2 | +0.6 | +1.3 | +0.7 | · | · | · | · | · | +2.4 |
| 2025 | · | · | · | · | · | · | · | · | · | · | +1.2 | +0.9 | +2.1 |
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.
Other plans — Magnum SIF · Hybrid Long-Short Fund
Minimum investment ₹10 lakh. SIF data from AMFI. Not investment advice. Verify all information with the fund house before investing.