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Diviniti Equity Long Short Fund - Direct Plan Growth Option - Fund Details
SIFs / Fund Details

Diviniti Equity Long Short Fund - Direct Plan Growth Option

Current NAV
₹960.5362
as on 2026-03-18
Fund Type
Equity
Features
Expense Ratio (TER)
0.87%
Risk Level
2

About this Fund

An open - ended equity investment strategy investing in listed equity and equity related instruments including limited short exposure in equity through derivative Instruments

Investment Objective

To generate long-term capital appreciation from a diversified portfolio that dynamically invests in equity and equity-related securities, including limited short exposure in equity through derivative instruments of companies across various market capitalisation. However, there can be no assurance that the investment objective of the Investment strategy would be achieved.

Investment Strategy

The long–short equity strategies become particularly relevant. By allowing managers to take both long and short positions, these strategies aim to participate in upside opportunities while managing drawdowns during periods of market stress. The SIF framework enables this flexibility within a regulated structure, making it suitable for investors seeking risk managed equity participation rather than directional exposure alone. As markets transition from momentum-driven rallies to more selective, outcome-oriented phases, the SIF category provides an important addition to the investment toolkit — designed to navigate volatility, capture relative value opportunities, and enhance portfolio resilience across cycles.

Risk Assessment

RISK BAND
LOWER RISK 1 2 3 4 5 HIGHER RISK
RISK-LEVEL 2 ↑

Scheme Information

Fund name Diviniti Equity Long Short Fund - Direct Plan Growth Option
ISIN INF00XX30043
Fund type Equity
Plan type Direct
Investment strategy The long–short equity strategies become particularly relevant. By allowing managers to take both long and short positions, these strategies aim to participate in upside opportunities while managing drawdowns during periods of market stress. The SIF framework enables this flexibility within a regulated structure, making it suitable for investors seeking risk managed equity participation rather than directional exposure alone. As markets transition from momentum-driven rallies to more selective, outcome-oriented phases, the SIF category provides an important addition to the investment toolkit — designed to navigate volatility, capture relative value opportunities, and enhance portfolio resilience across cycles.
Current NAV ₹960.5362
Benchmark index Nifty 50 (TRI) Index
Fund manager Mr. Vasav Sahgal
Risk level 2
Expense ratio (TER) 0.87% as on 2026-01-23
AUM
SIP minimum
Minimum Investment ₹1,000,000
Exit load Up to 10% of units can be redeemed within 6 months from allotment without any exit load; redemptions beyond this 10% in the first 6 months attract a 0.50% exit load. No exit load applies if units are redeemed or switched out after 6 months from the date of allotment.
Redemption Frequency Daily
Tax Implication Equity STCG – 20% (holding <12 months); Equity LTCG – 12.5% (holding >12 months)