Which is Better: Active Asset Allocator Long-Short Fund – iSIF SIF vs qsif SIF?

Both funds follow the Active Asset Allocator Long-Short Fund strategy — same category, different fund house.

iSIF Active Asset Allocator Long-Short Fund - Direct Plan - Growthqsif Active Asset Allocator Long-Short Fund - IDCW Option - Regular Plan
AMCiSIF SIFqsif SIF
StrategyActive Asset Allocator Long-Short FundActive Asset Allocator Long-Short Fund
StructureInterval Fund SchemesInterval Fund Schemes
Plan / OptionDirect / GrowthRegular / IDCW
Latest NAV₹10.4259₹11.6490
1-Day Change +0.16% +0.22%
1-Week Change -0.29% +1.58%
1-Month Change +0.58% +2.28%
1-Quarter Change - (not enough history) +13.92%
1-Year Change - (not enough history) - (not enough history)
Since-InceptionCAGR once ≥1yr old, else absolute return +4.29%
Absolute · 87d
+16.38%
Absolute · 132d
All-Time High / Low ₹10.4851 / ₹9.9972
since 08 Jun 2026
₹11.6490 / ₹9.9958
since 24 Apr 2026
Minimum Investment₹10,00,000 for both (SEBI-mandated SIF minimum, PAN-level per AMC)
Average AUM ₹4,219.47 lakh
April - June 2026
₹19.31 lakh
April - June 2026
Expense Ratio (TER) Not yet available 3.93%
Fund Manager Not yet available Sandeep Tandon, Jignesh Shah, Ankit Pande, Sameer Kate, Sanjeev Sharma
Benchmark Not yet available 40% NSE 500 TRI + 30% CRISIL Short Term Bond Fund Index + 30% iCOMDEX Composite Index
Risk Level Not yet available Risk band Level 2
Comparisons are based on NAV data only. Fund manager, AUM, expense ratio, and portfolio composition are not part of the daily NAV feed — check each fund's Scheme Information Document (SID) for those details. Trailing returns use the NAV on the closest available trading day to each period's start date, and show "-" when a fund's history doesn't yet reach back that far.