Home/ SIF Funds/ Diviniti Equity Long-Short Fund
Equity Long-Short

Diviniti Equity Long-Short Fund

by ITI Mutual Fund  |  Specialised Investment Fund  |  Min. ₹10 Lakh

How this fund deploys capital — July 2026

↑ Long Positions
Equity+77.12%
Long Futures+17.76%
Gross Long+94.9%
↓ Short Book
Hedged Futures-1.54%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.-1.5%
All paired with long positions
■ Income & Liquid
Liquid / Repo+9.41%
Income & Liquid+9.4%
Net Equity Exposure: +102.8%  |  All positions sum to 102.75% of NAV
Last updated: July 2026  |  Next update: August 2026
Portfolio Allocation
July 2026
Equity (Long)
77.12%
Debt (Long)
0.00%
Cash & Equivalents
9.41%
Futures (Long)
17.76%
Options (Long)
0.00%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.
-1.54%
Holdings
44 long  +  1 short
PositionType% NAVMkt ValueWeight
Reliance Industries Limited
Equity8.04%₹2,546L
HDFC Bank Limited
Equity7.89%₹2,501L
ICICI Bank Limited
Equity6.41%₹2,030L
Larsen & Toubro Limited
Futures Long4.17%₹1,322L
Hindalco Industries Limited
Equity4.01%₹1,270L
Bharti Airtel Limited
Equity3.77%₹1,196L
State Bank of India
Equity3.52%₹1,114L
Axis Bank Limited
Equity3.37%₹1,068L
Infosys Limited
Equity3.36%₹1,065L
Bharat Heavy Electricals Limited
Equity3.27%₹1,036L
Cartrade Tech Limited
Equity3.00%₹950L
Bajaj Finance Limited
Equity2.92%₹924L
Tata Steel Limited
Equity2.40%₹760L
Persistent Systems Limited
Equity2.34%₹742L
Thermax Limited
Equity2.15%₹682L
Maruti Suzuki India Limited
Futures Long2.05%₹650L
Bharat Electronics Limited
Equity2.04%₹645L
Jindal Steel Limited
Equity1.99%₹631L
Adani Ports and Special Economic Zone Limited
Equity1.93%₹612L
Sun Pharmaceutical Industries Limited
Equity1.91%₹604L
Tata Consultancy Services Limited
Equity1.83%₹580L
Hitachi Energy India Limited
Equity1.82%₹577L
ITC Limited
Futures Long1.53%₹486L
Tech Mahindra Limited
Equity1.41%₹447L
HDFC Asset Management Company Limited
Equity1.32%₹418L
Hedged Short Futures — 1.54% of NAV Covered
ContractShort %Matched LongMkt Value
Axis Bank Limited
-1.54%+3.37% Axis Bank (net +1.83%)₹486L
Money Market — 9.41%
Instrument% NAVMkt Value
91 Days Tbill (MD 17/09/2026)
+9.41%₹2,980L
Estimated margin required: ~0.02% of NAV. Cash & equivalents stand at 9.4% — approximately 408x coverage. TREPS and money market instruments earn 6.5–7.5% p.a. — an active yield position, not idle margin reserve.
Portfolio Analysis
Updated July 2026
July 2026 — Monthly Update

Diviniti Equity Long-Short Fund runs a fully hedged short book. All 1 short futures/options positions are paired with corresponding equity longs, resulting in minimal unhedged market exposure from the short side.

Net long exposure of 102.8% is driven by the equity book (77.1%), debt (0.0%), and cash & equivalents (9.4%). The equity + futures combination contributes alpha through relative performance, independent of broad market direction.


March 2026 — Initial Coverage

Tequity initiated coverage of Diviniti Equity Long-Short Fund with the March 2026 portfolio disclosure. Updated monthly as ITI Mutual Fund publishes new disclosures on the AMFI portal.

Data sourced directly from AMFI monthly portfolio disclosure. All figures as a percentage of Net Asset Value.

Portfolio History
Updated monthly
July 2026

Net long: 102.75%. Gross exposure: 105.83%. Equity: 77.12%, Debt: 0.00%, Cash & Equiv: 9.41%, Options Short: 0.00%, Futures Short: 1.54%. Naked futures short: 0% (fully hedged). Total positions: 46.

June 2026

Net long: 100.00%. Gross exposure: 100.00%. Equity: 73.16%, Debt: 9.02%, Cash & Equiv: 17.82%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 27.

May 2026

Net long: 100.00%. Gross exposure: 100.00%. Equity: 74.72%, Debt: 12.41%, Cash & Equiv: 12.87%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 37.

April 2026

Net long: 100.00%. Gross exposure: 100.00%. Equity: 68.50%, Debt: 15.34%, Cash & Equiv: 16.16%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 36.

March 2026

Net long: 100.00%. Gross exposure: 100.00%. Equity: 69.55%, Debt: 22.67%, Cash & Equiv: 7.78%, Options Short: 0.00%, Futures Short: 0.00%. Naked futures short: 0% (fully hedged). Total positions: 37.

Interested in SIF investments?

Talk directly with us about whether these funds suit your portfolio and risk profile.

Chat on WhatsApp Send an Email
Fund Details
AMCITI Mutual Fund
CategoryEquity Long-Short
Fund TypeSIF (SEBI Regulated)
Min. Investment₹10 Lakh
NAV DisclosureDaily
Portfolio DisclosureMonthly (AMFI)
Exposure Metrics
Net Equity Exposure ?Long positions minus short positions (% of NAV). Actual unhedged market exposure.102.8%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.1.5%
Naked Short ?Shorts with no matching long. Pure directional bets against specific stocks.0%
Total Exposure ?Long book + Short book combined. Values above 100% indicate derivative leverage.105.8%
Disclaimer: All data sourced from AMFI monthly portfolio disclosures (July 2026). Tequity Investing is an AMFI-registered Mutual Fund Distributor (ARN-245270). This is not investment advice. Specialised Investment Funds carry higher risk and are suitable only for sophisticated investors with a minimum investment of ₹10 lakh. Please consult a SEBI-registered financial planner before investing. Past performance is not indicative of future results.

Stay Ahead of Every Fund Move

Follow the Tequity WhatsApp Channel for curated updates on SIF and global funds.

  • Monthly SIF portfolio holdings updates
  • New GIFT City fund launches as they happen
  • Mutual fund holdings changes worth tracking
Follow on WhatsApp

Free to follow · No spam · Unfollow anytime

💬
SIF Advisor
Tequity Investing · Powered by Claude
Hi! I can help you understand SIFs and figure out which one might suit you. What would you like to know?