SIF comparison
Compare any SIF with any other SIF.
Every tracked Specialized Investment Fund remains selectable. Compare mandate, risk-band, liquidity, costs, NAV context, and source evidence across the same strategy or across entirely different categories.
Up to 4 side by side
No pairing restrictions
Cross-category comparison is useful for understanding portfolio role, access, and risk. It is not a like-for-like return ranking; verify the official benchmark and scheme documents before drawing conclusions.
All-SIF selector
Choose any 2 to 4 SIFs
Every tracked SIF is available. Select schemes from the same AMC, the same strategy, or entirely different categories.
Add one more SIF to make this a useful side-by-side comparison.
Current compare set
1/4 selected
Comparison context
Add another SIF
Every tracked SIF remains available for the second selection.
Choose any scheme. The page will explain whether the result is a closer mandate comparison or a broader cross-category review.
Key differences
What changes your review
Scan these first. They show where the shortlist actually differs.
Category
All selected: Equity-Oriented.
Strategy
Similar strategy: Sector Rotation Long-Short.
AMC
Single AMC; focus on strategy and access terms.
NAV freshness
Consistent: Daily NAV.
Evidence and access
Broadly similar; focus on mandate fit.
Investor fact readiness
Compare the facts that decide whether a SIF is reviewable.
This table uses the same answer-first fact sheet as each profile. Values appear only when approved for public promotion; otherwise the status tells you whether extraction, source review, or proof is still pending.
Answers shown
7/10
Extraction pending
2
High-priority open
0
| Investor fact | qsif Sector Rotation Long-Short Fund Quant Mutual Fund |
|---|---|
| Risk-band | Risk Band Level 2 Current AMFI summary checked 10 Sept 2026 Answer readyProof: AMFI current strategy summary document (S-21) |
| Minimum investment | Rs. 10 lakh minimum SIF threshold; verify latest AMFI and AMC scheme documents before action Answer readyProof: Investment Strategy Information Document |
| Liquidity / exit terms | Scheme-specific subscription, redemption, exit load, and notice terms; verify latest official documents before action Source readyProof: Investment Strategy Information Document |
| Fund manager / team | Fund managers: Sandeep Tandon (primary); Jignesh Shah, Ankit Pande, Sameer Kate, and Sanjeev Sharma (co-managers), all since allotment. Answer readyProof: AMFI qSIF Sector Rotation strategy summary |
| AUM | Fund Size as on 31 August 2026: Rs. 46.00 crore. Answer readyProof: qSIF August 2026 factsheet |
| TER / costs | Annual expense (stated maximum), reviewed 5 September 2026: Regular 4.50%; Direct 2.94%. Answer readyProof: AMFI qSIF Sector Rotation strategy summary |
| Exit load / dealing rules | Exit Load: 1% if redeemed or switched out on or before completion of 15 days from allotment; no exit load after 15 days from allotment. Answer readyProof: Official AMFI qsif Sector Rotation ISID |
| Benchmark | Not captured yet Source readyProof: Monthly factsheet |
| Portfolio snapshot | Not captured yet Needs source reviewProof: Portfolio disclosure |
SIF attributes
Side-by-side SIF attributes
| Attribute | qsif Sector Rotation Long-Short Fund Quant Mutual Fund |
|---|---|
| Research context | Equity strategy research |
| Review carefully if | you need decision-grade evidence |
| AMC | Quant Mutual Fund |
| Category | Equity-Oriented |
| Strategy | Sector Rotation Long-Short |
| Status | launched |
| Investor type | Experienced investors evaluating source-backed Sector Rotation Long-Short exposure with listed-equity and derivative-led strategy complexity |
| Minimum investment | Rs. 10 lakh minimum SIF threshold; verify latest AMFI and AMC scheme documents before action |
| Liquidity | Scheme-specific subscription, redemption, exit load, and notice terms; verify latest official documents before action |
| Taxation | Refer latest official scheme documents and qualified tax/advisor guidance |
| Latest NAV | ₹10.33 |
| NAV date | 17 Sept 2026 |
| NAV freshness | Daily NAV |
Source matrix
Compare evidence quality
| Evidence | qsif Sector Rotation Long-Short Fund Quant Mutual Fund |
|---|---|
| Review status | Early coverage |
| Next check | Wait for NAV, documents, or source evidence before comparing in detail. |
| Evidence status | Needs verification |
| Evidence checked | 5/8 evidence items checked |
| Verify next | AMC SIF landing page |
Conventional mutual-fund context
MF alternatives for this shortlist
Open only when the Rs. 10 lakh SIF route or strategy complexity is not suitable. These funds are comparison starting points, not SIF equivalents.
4 curated funds / open
Conventional mutual-fund context
MF alternatives for this shortlist
Open only when the Rs. 10 lakh SIF route or strategy complexity is not suitable. These funds are comparison starting points, not SIF equivalents.
Theme-cycle comparison
Sector rotation context
Compare sector weights, benchmark-relative participation, and whether manager calls add value across market phases.
Sector or business-cycle mutual funds remain within regular MF mandate limits and do not mirror a SIF's shorting or tactical derivative toolkit.
Next step
Move the review forward
Open the strongest document, inspect the lead profile, or copy the current shortlist note.