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Prism SIF · All SIFs

Prism Hybrid Long-Short Fund

Regular · Growth · Hybrid Long-Short Fund · Interval

NAV · 28 Sep 2026
₹10.23
Since launch
+2.15%
3 months
—
Max drawdown
-0.25%

NAV history

+2.15%absolute

Returns

1 month
+0.64%
3 months
—
6 months
—
Since launch
+2.15%
Max drawdown
-0.25%
Volatility
2.07%

Returns under a year are absolute, not annualised. Volatility is the annualised standard deviation of daily returns. 47 NAVs since 23 Jul 2026.

About this strategy

SIF
Prism SIF
Strategy
Hybrid Long-Short Fund
Asset class
Hybrid
Structure
Interval
Plan
Regular · Growth
First NAV
23 Jul 2026
ISIN
INF22M030019
Minimum investment
₹10 lakh

Other plans of this strategy

Other Hybrid Long-Short Funds

Strategy3MSince launchFirst NAV
Altiva Hybrid Long-Short Fund+2.51%+10.61%24 Oct 2025
Apex Hybrid Long-Short Fund+4.66%+7.55%30 Mar 2026
Arudha Hybrid Long-Short Fund+0.92%+3.67%04 Feb 2026
INFINITY HYBRID LONG-SHORT FUND+2.96%+2.96%09 Jul 2026
iSIF Hybrid Long-Short Fund+1.90%+3.81%05 Feb 2026
Magnum Hybrid Long Short Fund-0.61%+3.45%29 Oct 2025
Platinum Hybrid Long-Short Fund+0.17%+1.14%11 Jun 2026
qsif Hybrid Long-Short Fund+23.93%+31.04%20 Oct 2025
RedHex Hybrid Long-Short Fund+1.99%+2.00%25 Jun 2026
Titanium Hybrid Long-Short Fund-1.48%+0.19%17 Dec 2025

NAVs are the ones the SIF reports to AMFI. A SIF can hold short positions through derivatives, so it can behave very differently from a mutual fund in the same asset class. Nothing here is advice.