Unifi Capital

UNIFI Capital, a specialized Portfolio Management company offering innovative investment strategies with superior risk adjusted returns. Thematic investment styles are designed around niche investment opportunities that exist in the Indian capital markets. Usually such specialties offer limited scope for scale-up in terms of the capital and deploy effectively. The focus is always upon discovering and taking advantage of an insight that can provide the edge, and then adding layers of research and due diligence to construct a portfolio. Unifi is essentially a value investor in growth businesses, place Value first but always also demand growth potential in a business portfolio holds. Unifi believe that stock performance, particularly in mid and small firms, needs a catalyst; and often the best catalyst is an attractive price combined with growth.

Fund Managers

Mr. Baidik Sarkar

Fund Manager

Baidik is a Chartered Accountant with over 12 years of experience in consulting, corporate finance and equity research. Mr. Baidik Sarkar has been with UNIFI for last 10 years and currently handles equity research across IT, real-estate and the agricultural sector and also assists the CIO in managing the company’s Spin-Off and APJ fund. Prior to UNIFI, Mr. Baidik worked as a Strategy Consultant with the Government Reforms and Institutional Development arm of PricewaterhouseCoopers -PWC.

Mr. Sarath K Reddy


In a career spanning 25 years, Mr. Sarath Reddy has to lead a variety of functions in the field of Investments. Having started his career in Mumbai with Standard Chartered Bank, he took the first opportunity that came along to turn into an entrepreneur. Mr. Sarath Reddy along with a highly experienced team of professionals founded Unifi Capital in 2001. As a Chief Investment Officer, he works very closely with the research analysts and fund management team to deliver unmatched performance.

Mr. Saravanan V N

Fund Manager

Saravanan is a Chartered Accountant with over 16 years of experience in equity research, corporate finance, auditing, and taxation. Mr. Saravanan has been with Unifi for the last 9 years and currently tracks pharmaceuticals, NBFC, and domestic debt markets. Additional responsibilities include advising on debt fund investments, hedging, and arbitrage opportunities. His prior experience includes 3 years of articles in PWC, 2 years in ICICI Bank Corporate Banking division. Saravanan manages Event arbitrage fund and AIF High yield funds and structured products to achieve the desired objectives. 




To Know the Strategy Performance Click Here ...


BCAD strategy has been structured to benefit from migration of market share from the unorganised segment to organised players. The fund would be investing in well established organised players who would be gaining market share from the unorganised players thus posting higher revenue growth rate than that of their industry.

To Know the Strategy Performance Click Here ...


Blended Rangoli Strategy Investments will be cherry picked from across the portfolio of companies that Unifi manages across each of the six distinct funds it manages. In effect, the endeavor is to be able to identify the best of the best. This fund aims in cutting down the investors switching cost and effort in migrating between best opportunities at any diverse point of time.

To Know the Strategy Performance Click Here ...

Copyright © 2021 PMS Bazaar. All Rights Reserved.