Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Focused on value investing
Value investing to us begins with minimizing the downside and relying on earnings growth with capital efficiency to catalyze stock performance.

Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Absolute returns oriented
Our direct client engagement model provides flexibility to pursue unconventional investment strategies rather than simply benchmark with stock indices.

Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Opportunistic
Often the best times to invest are when people don't want to. We have raised money precisely at such times. We don't launch funds often.

Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Performance oriented
Rather than simply gathering assets, we have closed our best performing funds to new investors, to avoid style drift and sustain exceptional returns.

Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Stable core team
We often invest in ideas that have no analyst coverage. Our experienced research team typically handle our own bottom up analysis.

Unifi is an independent Portfolio Manager established in 2001, with over Rs. 9800 Cr of assets under management. Click here to review the track record of our funds.

Alignment of interest
We align our fees with client interest; we charge "after" we perform.