SIF head-to-head · Active Asset Allocator

DynaSIF Active Asset Allocator vs qSIF Active Asset Allocator

DynaSIF Active Asset Allocator and qSIF Active Asset Allocator compared on official AMFI NAVs — returns across six windows, a rebased NAV chart, expense ratio, AUM, risk band and portfolio overlap, refreshed daily.

Loading official AMFI data…

DynaSIF Active Asset Allocator and qSIF Active Asset Allocator are both active asset allocator Specialized Investment Funds, but from different houses — 360 ONE runs DynaSIF Active Asset Allocator and Quant runs qSIF Active Asset Allocator. DynaSIF Active Asset Allocator was the earlier of the two, launching in March 2026; qSIF Active Asset Allocator followed in April 2026. Active Asset Allocator SIFs shift dynamically across asset classes as conditions change, rather than holding a fixed equity-debt mix.

Both sit inside SEBI's ₹10 lakh SIF category (₹1 lakh for accredited investors) and are compared below on live official AMFI NAVs — six return windows, a rebased NAV chart, expense ratio, AUM, risk band and what they hold, refreshed every trading day.

DynaSIF Active Asset Allocator

360 ONE
Category
Active Asset Allocator
Launched
March 2026
AMFI family
SIF-87
Minimum
₹10 lakh

qSIF Active Asset Allocator

Quant
Category
Active Asset Allocator
Launched
April 2026
AMFI family
SIF-93
Minimum
₹10 lakh

Side-by-side highlights

Factual highlights from the sourced figures below — informational only, not a recommendation.

Side by side

MetricDynaSIF Active Asset Allocator
360 ONE
qSIF Active Asset Allocator
Quant
Latest NAV₹10.5135
18 Sep 2026
₹13.0728
18 Sep 2026
1 day▲ 0.38%▼ 0.35%
1 week▲ 0.25%▼ 0.88%
1 month▲ 0.19%▲ 13.37%
3 months▲ 2.16%▲ 25.38%
6 months
Since inception▲ 5.14%▲ 30.73%
AUM₹214 Cr₹167 Cr
Expense ratio (Regular)1.63%1.83%
Risk band (AMC-declared)2 / 52 / 5
Allotted25 Mar 202621 Apr 2026
StrategyActive Asset AllocatorActive Asset Allocator
Official AMFI NAVs as of 18 Sep 2026, Regular plan · Growth. Returns are absolute point-to-point changes, not annualised, and most SIFs are less than a year old — check each fund’s age before comparing. Past performance may or may not be sustained in future. Any highlight marks the higher or lower figure on that row; it is arithmetic, not a rating or a recommendation. Missing values show as “—”, never estimated. This table refreshes in your browser with the latest official figures.

Do they hold the same stocks?

Real portfolio overlap, computed from each fund’s disclosed monthly holdings — long positions only.

0%No shared holdings — the two disclosed portfolios have no stock in common.

Overlap = the sum of the lower of the two weights in each shared holding. Computed from the funds’ monthly portfolio disclosures — DynaSIF Active Asset Allocator as of 30 Jun 2026, qSIF Active Asset Allocator as of 31 Jul 2026. Long positions only; short and derivative exposures are excluded. Informational only, not a recommendation.

Questions people ask

Which has performed better, DynaSIF Active Asset Allocator or qSIF Active Asset Allocator?
The live table above shows both funds' returns across 1-day, 1-week, 1-month, 3-month, 6-month and since-inception windows, computed from official AMFI NAVs. Which is “better” depends on the period you look at and, more importantly, on your own goals, horizon and risk appetite — past performance does not predict future returns. As an AMFI-registered distributor (not an investment adviser), Trustner can explain how each strategy works so you can decide; we don't issue buy or sell calls.
What is the difference between DynaSIF Active Asset Allocator and qSIF Active Asset Allocator?
Both are Active Asset Allocator SIFs, so they share the same broad mandate — a dynamic asset-allocation mandate. The main differences are the fund house and team (360 ONE runs DynaSIF Active Asset Allocator; Quant runs qSIF Active Asset Allocator) and their launch dates (March 2026 vs April 2026). Day to day they differ in expense ratio, AUM and how their NAVs have moved, all shown live above.
What is the minimum investment in DynaSIF Active Asset Allocator or qSIF Active Asset Allocator?
₹10 lakh for both — the standard SEBI minimum for Specialized Investment Funds — or ₹1 lakh for investors who qualify as accredited investors. It is the same across the SIF category.
Where does this comparison data come from?
NAV and every return figure are computed from official AMFI SIF NAV data (Regular plan, Growth option), refreshed daily. AUM, risk band and expense ratio are from Value Research. Figures we can't verify are left blank rather than estimated — MeraSIF never publishes indicative numbers.

Want to talk it through?

Our team distributes every live SIF and can explain how each strategy works, the liquidity terms and the paperwork. Education first — no pressure.

Talk to Our Team →

Trustner Asset Services Pvt. Ltd. · AMFI-registered Mutual Fund and SIF Distributor, ARN-286886 · APMI-registered PMS Distributor. We distribute Regular plans and may receive commission from the fund houses. This comparison presents sourced data for information only; it is not investment advice, a rating or a recommendation. Mutual Fund and SIF investments are subject to market risks, read all scheme related documents carefully.