Fund Managers
The People Behind the SIFs
The actual fund managers behind India's SIFs, with each AMC's CIO noted for oversight. Names, roles and AMCs are publicly verifiable; strategy descriptions are factual. A live flagship chart is shown where the manager runs a public regular-fund track record. We do not attribute quotes or performance figures to individuals.
Fund manager profiles
Quant's qSIF range applies the house's predictive, data-driven (VLRT) framework to long-short equity, hybrid, ex-top-100, active-allocation and sector-rotation strategies.
Runs Edelweiss Altiva's hybrid long-short book across equity arbitrage, special situations and low-risk derivative overlays for steadier, income-oriented outcomes.
Leads Edelweiss Altiva's Ex-Top 100 long-short strategy and oversees the wider Altiva SIF suite, with a quality-led, hedged approach to broader-market names.
As SBI MF's CIO, provides investment oversight across the fund house, including the Magnum SIF range.
Runs ABSL's Apex hybrid long-short SIF, combining equity, debt and derivative overlays for all-weather participation with managed drawdowns.
As ABSL's Co-CIO Equity, oversees the Apex SIF range alongside the firm's mainstream equity strategies.
Manages the equity book of Bandhan's Arudha hybrid and equity long-short SIFs, dynamically allocating for an all-weather, controlled-volatility profile.
As Bandhan's Head of Equities, oversees the Arudha SIF range spanning hybrid and equity long-short strategies.
Runs Tata's Titanium hybrid SIF, combining equity, fixed income and derivatives in a long-short framework targeting absolute returns through cycles.
As Tata's CIO Equities, oversees the Titanium SIF suite across hybrid and equity long-short strategies.
Runs ICICI Prudential's iSIF equity long-short, pairing high-conviction longs with derivative hedges to manage net market exposure.
Runs ICICI Prudential's iSIF Ex-Top 100 long-short, focused on the broader SMID universe outside the top 100 with derivative hedges.
Runs ICICI Prudential's iSIF Active Asset Allocator, dynamically allocating across asset classes with a long-short overlay.
As ICICI Prudential's ED & CIO, oversees the iSIF range spanning equity, ex-top-100, hybrid and active-allocation long-short strategies, with a contrarian, valuation-aware lens.
As Mirae Asset's CIO, oversees the Platinum SIF range alongside the firm's mainstream equity strategies.
As Kotak's CIO Equity, oversees the Infinity SIF alongside the firm's mainstream equity strategies.
Leads the equity book of HSBC's RedHex interval hybrid long-short SIF, with a value-led, hedged approach across asset classes.
Leads 360 ONE's DynaSIF Ex-Top 100 long-short and oversees the wider DynaSIF suite, with a tactical, valuation-aware approach.
As Union MF's Head of Equity, oversees the Arthaya SIF alongside the firm's mainstream equity strategies.
Runs Franklin Templeton's Sapphire multi-factor equity long-short SIF, blending quality, value and momentum signals.
As a senior PM at Franklin Templeton, provides oversight to the Sapphire SIF alongside the firm's mainstream equity strategies.
As ITI's CIO, oversees the Diviniti long-short SIF, bringing three decades of equity and alternatives experience.
Heads SBI's SIF desk; the Magnum hybrid long-short strategy spans equity, debt and derivatives, seeking measured up-market participation with reduced drawdowns.
Runs Tata's Titanium equity long-short SIF, a directional long book alongside index and stock hedges to dampen beta.
Runs ICICI Prudential's iSIF Hybrid, pairing directional conviction with derivative hedges across equity and debt to manage net exposure.
Runs Mirae Asset's Platinum hybrid long-short SIF, with a quantitative, market-neutral and derivative-driven approach emphasising steadier accrual.
Runs Kotak's Infinity interval hybrid long-short SIF across equity, debt and derivatives, built for measured all-weather outcomes.
Runs 360 ONE's DynaSIF equity and active-asset-allocator long-short strategies, combining a high-conviction long book with systematic hedges.
Leads Union's Arthaya SIF, an active multi-cap equity long-short strategy seeking alpha from selection while hedging market risk.
Runs the equity book of ITI's Diviniti long-short SIF, taking directional longs alongside index and stock hedges, seeking alpha from selection.
Runs The Wealth Company's WSIF equity and ex-top-100 long-short strategies, long-biased with derivative hedges for downside management.