Magnum Hybrid Long Short Fund - Direct Plan - Growth
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Current NAV
₹10.0913
as on 2026-03-18
NAV Performance
Magnum Hybrid Long Short Fund - Direct Plan - Growth
Fund Type
Hybrid
Features
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Expense Ratio (TER)
0.48%
Risk Level
1
About this Fund
An Interval investment strategy investing predominantly in equity and debt securities, including lim
Investment Objective
The investment objective of the Investment Strategy is to generate regular income by predominantly investing in Derivatives strategies like covered calls, arbitrage opportunities in the cash and derivatives segments of the equity markets and debt and money market instruments and to generate long-term capital appreciation through unhedged exposure to equity and equity related instruments. There is no assurance that the investment objective of the Investment strategy will be achieved.
Risk Assessment
RISK BAND
LOWER RISK
1
2
3
4
5
HIGHER RISK
RISK-LEVEL 1 ↑
Scheme Information
| Fund name | Magnum Hybrid Long Short Fund - Direct Plan - Growth |
| ISIN | INF200K30049 |
| Fund type | Hybrid |
| Plan type | Direct |
| Current NAV | ₹10.0913 |
| Benchmark index | NIFTY 50 Hybrid Composite Debt 50:50 Index |
| Fund manager | Mr. Gaurav Mehta |
| Risk level | 1 |
| Expense ratio (TER) | 0.48% as on 2026-01-25 |
| AUM | — |
| SIP minimum | 10000 |
| Minimum Investment | ₹1,000,000 |
| Exit load | 0.50% upto 15 days, 0.25% 16 days to 30 days, No Exit Load after 30 days |
| Redemption Frequency | Two Times in a week (Monday & Thursday) |
| Tax Implication | Debt STCG – as per Tax Slab upto 12 months ; Equity LTCG – 12.5% (holding >12 months). |
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