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Equity Long-Short

Qsif Equity Long-Short Fund

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

How this fund deploys capital — July 2026

↑ Long Positions
Equity+71.60%
Long Futures+5.81%
Gross Long+77.4%
↓ Short Book
Hedged Futures-8.08%
Naked Shorts-11.83%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.-19.9%
11.83% directional shorts
■ Income & Liquid
Liquid / Repo+32.33%
Net Rec/(Pay)-3.94%
Income & Liquid+32.3%
Net Equity Exposure: +85.9%  |  All positions sum to 85.91% of NAV
Last updated: July 2026  |  Next update: August 2026
Portfolio Allocation
July 2026
Equity (Long)
71.60%
Debt (Long)
0.00%
Cash & Equivalents
28.40%
Futures (Long)
5.81%
Options (Long)
0.00%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.
-19.90%
Holdings
21 long  +  5 short
PositionType% NAVMkt ValueWeight
Adani Energy Solutions Limited
Equity8.06%₹6,113L
Indus Towers Limited
Equity8.00%₹6,067L
JSW Infrastructure Limited
Equity6.80%₹5,155L
Sona BLW Precision Forgings Limited
Futures Long5.81%₹4,406L
Adani Green Energy Limited
Equity5.50%₹4,170L
UPL Limited
Equity4.62%₹3,501L
MANGALORE REFINERY & PETROCHEMICALS LTD
Equity3.90%₹2,960L
BLUE JET HEALTHCARE LTD
Equity3.50%₹2,650L
Capri Global Capital Limited
Equity3.05%₹2,312L
Reliance Industries Limited
Equity2.96%₹2,245L
Premier Energies Limited
Equity2.95%₹2,235L
Sona BLW Precision Forgings Limited
Equity2.94%₹2,231L
AWL Agri Business Limited
Equity2.87%₹2,179L
Caliber Mining and Logistics Limited
Equity2.59%₹1,967L
Hexaware Technologies Limited
Equity2.53%₹1,921L
IDBI Bank Limited
Equity2.39%₹1,814L
IPCA Laboratories Ltd
Equity2.18%₹1,653L
Aegis Logistics Limited
Equity1.90%₹1,438L
Tata Chemicals Ltd
Equity1.89%₹1,432L
PTC India Limited
Equity1.48%₹1,125L
YES Bank Ltd.
Equity1.48%₹1,121L
Hedged Short Futures — 8.08% of NAV Covered
ContractShort %Matched LongMkt Value
Adani Energy Solutions Limited
-8.08%+8.06% Adani Energy Solutions (net -0.01%)₹6,123L
Naked (Directional) Shorts — 11.83% of NAV Uncovered
Contract% NAVMkt ValueExpiry
Bajaj Finance Limited
-1.60%₹1,211L-
Cipla Limited
-2.08%₹1,580L-
Eicher Motors Ltd
-2.70%₹2,044L-
Biocon Ltd
-5.45%₹4,134L-
Directional short: 11.83% of NAV across 4 contract(s). No matching long position — direct bearish bet on stock/index decline.
TREPS / Repo — 25.24%
Instrument% NAVMkt Value
TREPS 03-Aug-2026 DEPO 10
+25.24%₹19,140L
Money Market — 6.42%
Instrument% NAVMkt Value
91 Days Treasury Bill 06-Aug-2026
+0.66%₹500L
91 Days Treasury Bill 13-Aug-2026
+0.66%₹499L
91 Days Treasury Bill 20-Aug-2026
+0.66%₹499L
91 Days Treasury Bill 03-Sep-2026
+0.66%₹498L
91 Days Treasury Bill 10-Sep-2026
+0.66%₹497L
91 Days Treasury Bill 17-Sep-2026
+0.66%₹497L
91 Days Treasury Bill 15-Oct-2026
+0.65%₹495L
91 Days Treasury Bill 22-Oct-2026
+0.65%₹494L
91 Days Treasury Bill 29-Oct-2026
+0.65%₹494L
91 Days Treasury Bill 28-Aug-2026
+0.53%₹398L
MF Units — 0.67%
Instrument% NAVMkt Value
qsif Sector Rotation Long-Short Fund-DG
+0.67%₹506L
Net Rec/(Pay) — -3.94%
Instrument% NAVMkt Value
NCA-NET CURRENT ASSETS
-3.94%₹2,984L
Estimated margin required: ~2.31% of NAV. Cash & equivalents stand at 28.4% — approximately 12x 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

Qsif Equity Long-Short Fund runs a mixed short book — hedged positions paired with equity longs, plus 11.83% in naked directional shorts across 4 futures contract(s). These represent direct bets on specific stocks or indices falling in price.

Net long exposure of 85.9% reflects partial but not complete market hedging. Investors get reduced market beta versus a long-only fund, combined with potential alpha from both long and short stock selection. Options short book (0.00%) adds further positioning.


March 2026 — Initial Coverage

Tequity initiated coverage of Qsif Equity Long-Short Fund with the March 2026 portfolio disclosure. Updated monthly as quant 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: 85.91%. Gross exposure: 125.72%. Equity: 71.60%, Debt: 0.00%, Cash & Equiv: 28.40%, Options Short: 0.00%, Futures Short: 19.90%. Naked futures short: 11.83%. Total positions: 39.

May 2026

Net long: 100.00%. Gross exposure: 117.42%. Equity: 74.53%, Debt: 0.00%, Cash & Equiv: 24.54%, Options Short: 0.00%, Futures Short: 8.71%. Naked futures short: 8.71%. Total positions: 36.

March 2026

Net long: 96.39%. Gross exposure: 112.82%. Equity: 71.63%, Debt: 0.00%, Cash & Equiv: 28.37%, Options Short: 0.00%, Futures Short: 8.21%. Naked futures short: 8.21%. Total positions: 35.

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Fund Details
AMCquant 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.85.9%
Short Book ?Absolute value of all short positions. Includes hedged + naked shorts.19.9%
Naked Short ?Shorts with no matching long. Pure directional bets against specific stocks.11.83%
Total Exposure ?Long book + Short book combined. Values above 100% indicate derivative leverage.125.7%
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.

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